Je dividenda Cromwell Property Group bezpečná?
Cromwell Property Group zvyšuje dividendu již 2 let.
V průběhu posledních 10 let Cromwell Property Group tuto hodnotu zvyšovala o -8,996 % ročně sníženo.
Na pětiletou perspektivu klesl výplata o -16,464 %.
Analytici počítají pro běžný obchodní rok s růstem o Růst dividend ve výši 1,645%.
Cromwell Property Group Aktienanalyse
Co dělá Cromwell Property Group?
The Cromwell Property Group is a leading real estate conglomerate based in Australia with offices worldwide. The company was founded in 1970 by Paul Hodges and has since become a major player in the real estate market.
Cromwell Property Group's business model is based on the acquisition, renovation, and sale of properties. The company primarily focuses on office buildings and retail properties in Europe, Asia, and Australia. Cromwell Property Group uses both its own funds and external capital to finance real estate transactions. An important aspect is also the so-called "asset management," where Cromwell Property Group takes care of leasing, maintenance, and administration of the properties.
Within the Cromwell Property Group, there are various divisions that focus on different areas of the real estate business. These include Cromwell Funds Management, Cromwell Direct Property Investment, Cromwell European Real Estate Investment Trust (CEREIT), and Cromwell Property Securities. Each of these divisions has its own focus and invests in different types of properties.
Cromwell Funds Management is one of the key divisions of Cromwell Property Group and manages various property funds. These are closed-end funds in which investors can invest to indirectly invest in real estate. The funds specialize in different types of properties and regions.
On the other hand, Cromwell Direct Property Investment offers investors the opportunity to directly invest in real estate. Cromwell Property Group takes care of the asset management and leasing of the properties.
Cromwell European Real Estate Investment Trust (CEREIT) is the European counterpart to Cromwell Funds Management. The fund invests in various properties in Europe, primarily in Germany, the Netherlands, and France.
On the other hand, the Cromwell Property Securities division invests in securities of real estate companies. This includes, for example, stocks of companies specializing in the ownership and management of properties.
Cromwell Property Group's product range includes not only various investment funds but also various services related to asset management. These include, for example, leasing and administration of properties, as well as consulting for investors in the real estate sector.
Overall, Cromwell Property Group has a diversified portfolio that includes various types of properties in different countries and regions. Through targeted investments, the company aims to offer attractive properties for both investors and tenants.
In recent years, Cromwell Property Group has also increasingly focused on sustainability. This mainly involves improving the energy efficiency of the properties and reducing CO2 emissions. In asset management as well, the company increasingly relies on sustainable criteria.
Overall, Cromwell Property Group is an important player in the real estate market, which achieves attractive returns for investors through its broad positioning and targeted investments. At the same time, the company relies on sustainable concepts to operate successfully in the long term. Cromwell Property Group je jednou z nejoblíbenějších společností na Eulerpool.com.Akciové spořicí plány nabízí atraktivní možnost pro investory, jak dlouhodobě budovat jmění. Jednou z hlavních výhod je takzvaný průměrovací efekt nákladů: Pravidelnou investicí fixní částky do akcií nebo akciových fondů se automaticky nakupuje více podílů, když jsou ceny nízké, a méně, když jsou vysoké. To může vést k výhodnější průměrné ceně za podíl v průběhu času. Akciové spořicí plány navíc umožňují i malým investorům přístup k drahým akciím, protože se mohou zúčastnit už s malými částkami. Pravidelná investice také podporuje disciplinovanou investiční strategii a pomáhá vyhýbat se emočním rozhodnutím, jako je impulzivní nákup nebo prodej. Kromě toho investoři profitují z potenciálního zhodnocení akcií a z výplat dividend, které mohou být reinvestovány, což zvyšuje efekt složeného úroku a tím růst investovaného kapitálu.