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Hibernia REIT PLC
OTC:HIBRF

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Hibernia REIT PLC
OTC:HIBRF
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Price: 2.03 USD Market Closed
Updated: May 31, 2024

Hibernia REIT PLC
Net Issuance of Debt

Last Value
3-Years 3-Y CAGR
5-Years 5-Y CAGR
10-Years 10-Y CAGR
Quarterly
Annual
TTM
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Hibernia REIT PLC
Net Issuance of Debt Peer Comparison

Comparables:

Competitive Net Issuance of Debt Analysis
Latest Figures & CAGR of Competitors

Company Net Issuance of Debt CAGR 3Y CAGR 5Y CAGR 10Y
H
Hibernia REIT PLC
OTC:HIBRF
Net Issuance of Debt
€27m
CAGR 3-Years
27%
CAGR 5-Years
-27%
CAGR 10-Years
N/A

See Also

What is Hibernia REIT PLC's Net Issuance of Debt?
Net Issuance of Debt
27m EUR

Based on the financial report for Sep 30, 2021, Hibernia REIT PLC's Net Issuance of Debt amounts to 27m EUR.

What is Hibernia REIT PLC's Net Issuance of Debt growth rate?
Net Issuance of Debt CAGR 5Y
-27%

Over the last year, the Net Issuance of Debt growth was -42%. The average annual Net Issuance of Debt growth rates for Hibernia REIT PLC have been 27% over the past three years , -27% over the past five years .