Feb 15 (Reuters) - Klepierre SA LOIM.PA :
* 2023 NET CURRENT CASH FLOW PER SHARE EXPECTED AT EUR 2.35
(UP 5% COMPARED TO 2022 ADJUSTED NCCF OF EUR 2.24
* PROPOSED INCREASED CASH DISTRIBUTION TO SHAREHOLDERS AT
EUR
1.75(4) PER SHARE
* AS OF DECEMBER 31, 2022, CONSOLIDATED NET DEBT TOTALED EUR
7,479
MILLION COMPARED TO EUR 8,006 MILLION AT END OF 2021. OVERALL,
NET DEBT HAS FALLEN BY EUR 1.6 BILLION OVER LAST TWO YEARS
* END-FY EPRA NET TANGIBLE ASSETS PER SHARE EUR 30.90 VERSUS
EUR
31.20 YEAR AGO
* FY NET RENTAL INCOME (NRI), SHOPPING CENTERS EUR 1.02
BILLION
VERSUS EUR 863.4 MILLION YEAR AGO
Source text for Eikon: ID:nGNEcg289m
Further company coverage: LOIM.PA
(Gdansk Newsroom)
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