International Property Finance - Report Writing - Accounting and Finance Assignment Help

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Assignment Task:

Overview
This assignment tests students’ ability to deeply explore a single specific trading entity’s internal funding profile and provide optimal solutions to encountered impediments for financing purposes. It also examines the validity and reliability of third-party broker reports and published research when critically appraised against market metrics and comparables.

Details

You are required to carry out a full funding analysis and interpretation of a nominated A- REIT’s financial structure by commenting on the following issues:

Development funding – Calculate and comment on the following criteria as well as compare them against at least three other comparable A-REITs similar in size and market segmentation (if available).

 Average weighted cost of capital (AWCC);
• Dividend yields;
• Average A-REIT returns (1, 3, 5, 10 years);
• Net tangible assets (NTA);
• NTA per unit;
 Premium/Discount to NTA
• Current unit price;
• P/E ratio;
• Gearing ratios and leverage;
 Beta;
• Price/Book value;
• Market capitalisation.

 

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