Key figures
I
I
I
(x 1.000-except*) 1976 1977 1978 1979 1980
Net worth and result
Issued capital
Reserves after appropriation of
18.360
22.950
22.950
23.868
23.868
profit
162.901
235.435
271.454
296.406
314.971
Equity per share of 1.000,-
9.873*
11.259*
12.828*
13.419*
14.196*
Gross group profit
50.590
81.595
91.832
92.464
69.943
Corporation tax
Added to provision for general
22.959
33.894
37.715
40.558
29.000
contingencies
3.104
9.464
10.352
10.500
14.000
Net group profit
Net group profit
24.527
38.237
43.765
41.406
26.943
per share of 1.000,-
1.342*
1.666*
1.907*
1.735*
1.129*
Profit retained in participations
5.725
14.465
10.055
10.254
3.158
Addition to open reserves
14.000
17.000
24.000
20.589
13.189
Distribution of profit
4.802
6.772
9.710
10.563
10.596
Dividend per share of 1.000,-
Pay-out on basis of
268*
330*
410*
430*
430*
net group profit
19%
17%
22%
25%
39%
Mortgage business
Production of mortgages
742.589
1.737.111
1.771.407
1.183.574
931.167
Growth of mortgage portfolio
417.897
1.278.901
1.206.467
693.449
424.599
Mortgage portfolio
at end of year
2.654.149
3.933.050
5.139.517
5.832.966
6.257.565
Moneys raised at end of year
2!515.702
3.747.636
4.916.684
5.601.328
6.205.960
Real estate business**
Market value real estate in
operation
446.400
494.900
580.300
653.100
762.300
Annualized rents
at December 31st
40.200
45.500
51.100
60.400
70.400
Projects under construction
at beginning of year
132.600
128.400
98.200
153.100
181.300
New investments
105.500
64.900
92.600
64.500
226.100
Completed projects
109.700
95.100
37.700
36.300
7.600
Depreciation project costs
8.800
Projects under construction
at end of year
128.400
98.200
153.100
181.300
391.000
Projects under construction
of building firm
35.153
73.713
The figures rtientioned here
include the non-consolidated
participations in proportion to
our interest therein.
Nun
of lo
Out!
a me
Nun
emp
10