Premier Investment Corporation

TSE code 8956

Font Size
  1. Home
  2. Investor Relations
  3. Financial Highlights

Financial Highlights

dummy text

The 32nd fiscal period (Fiscal period ended October 31, 2018)

Operating Revenues

(millions of yen)

Net Income

(millions of yen)

Total Assets

(millions of yen)

LTV(loan to value)

(Note1) LTV (loan to value) = [interest-bearing liabilities / (interest-bearing liabilities + unitholders' capital)]

Distribution per Unit


NAV (Net Asset Value) per Unit

(Note1) NAV per unit = (net assets as of the end of the period + appraisal profit or loss) / number of investment units outstanding as of the end of the period