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Market cap: | 12,065,009,295 |
EPS - TTM: | 413.29 |
P/E ratio: | 8.5 |
Forward P/E: | 10.15 |
Dividend yield: | 9.58 % |
Return on equity: | 8.54 % |
Return on assets: | 5.61 % |
Net asset value: | 5,897.00 |
Price/NAV: | 0.60 |
Authorised shares: | 500,000,000 |
Issued shares: | 343,438,921 |
Report |
Date |
---|---|
HYP - Annual Report June 2021 | 2021/06/30 |
HYP - Annual Report June 2020 | 2020/06/30 |
Sector: Real Estate Investment Trusts
'000 Rands |
Dec 21 I |
Jun 21 F |
---|---|---|
Turnover | 1,354 | 2,781 |
0 | 0 | |
Attrib Inc | 867 | -812 |
Cash Gen PS | -128.45 | 99 |
Cshflo frm ops | -439 | 304 |
Oper Pft Mgn | 57.19 % | 56.83 % |
'000 Rands |
Dec 21 I |
Jun 21 F |
---|---|---|
Ord UntHs Int | 20,159,324 | 19,357,485 |
0 | 0 | |
FixedAss/Prop | 21,991,447 | 21,659,805 |
Tot Curr Ass | 1,995,062 | 908,208 |
Total Ass | 27,509,721 | 26,878,084 |
Tot Curr Liab | 3,784,477 | 3,087,779 |
Dec 21 I |
Jun 21 F |
|
---|---|---|
EPS (ZARc) | 271.1 | -297.4 |
HEPS-C (ZARc) | 200.1 | 327.7 |
DPS (ZARc) | 0 | 336.53 |
RetOnSH Funds | 8.54 % | -4.34 % |
RetOnTotAss | 5.61 % | 5.89 % |
Oper Pft Mgn | 57.19 % | 56.83 % |
Next AGM date: Friday, 25 November 2022, unconfirmed |
Final results estimated to be released on 15 September 2022 |
Nature of business
Hyprop, Africa's leading specialist shopping centre Real Estate Investment Trust (REIT), operates an internally managed portfolio of shopping centres in major metropolitan areas across South Africa. Hyprop has a growing presence in sub-Saharan Africa, through a joint venture with Attacq Ltd. and the Atterbury Group.
Company email
investorrelations@hyprop.co.za
Company website
http://www.hyprop.co.za
Transfer secretary
Computershare Investor Services (Pty) Ltd.
Company secretary
Fundiswa Nkosi
Postal address
PO Box 52509, Saxonwold, 2132
Registered address
2nd Floor, Cradock Heights, 21 Cradock Avenue, Rosebank, 2196
Company tel
011 447-0090
Company fax
Major shareholders
Allan Gray, Government Employees Pension Fund (SA), Ninety One, Old Mutual, Sanlam, Fairtree Asset Management (Pty) Ltd.
Declared date |
Last day to trade |
Pay date |
Type |
Value |
---|---|---|---|---|
2021/09/15 | 2021/10/19 | 2021/10/25 | Final | 336.52921 ZARc |
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