(Source: Macau Property Opportunities Fund Ltd) MANAGER'S REPORT: FINANCIAL REVIEW HIGHLIGHTS 2012 2013 2014 2015 2016 NAV (IFRS)(US$ million) 211.7 214.8 222.9 155.4 106.6 NAV per share (IFRS)(US$) 2.07 2.39 2.74 2.00 1.40 Adjusted NAV(US$ million) 296.5 336.4 397.8 308.0 226.3 Adjusted NAV per share(US$) 2.91 3.74 4.89 3.97 2.96 Adjusted NAV per share(pence) 185 246 286 253 223 Share price(pence) 105.0 153.5 254.0 209.0 105.0 Portfolio valuation(US$ million) 374.8 452.9 535.8 463.7 393.7 Loan-to-value ratio(%) 27 20 22 34 40 1 Figures incorporated adjustments for deferred tax provisions as discussed in Note 9. 2 Based on the following US$/GBP exchange rates on 30 June: 2012: 1.571; 2013:...
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