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Charter Hall Group
Industry Group: REITs - Commercial - Real Estate Operations

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Business Summary
Charter Hall Group is engaged in property investment. It operates through three segments. The Property Investment segment comprises interests in investment properties and listed/unlisted property funds, and it has the profit result of the Charter Hall Direct Retail Fund (DRF) investment identified separately for management. The Funds Management and Corporate segment comprises funds management services, development management services and other property services. The Development Investment segment comprises property development activities of the group. During the fiscal year ended June 30, 2011, 62.9% of the Company's total income came from the Funds Management and Corporate segment. In March 2012, it announced that Core Plus Industrial Fund (CPIF) acquired a 50% freehold interest in the Metcash Regional Distribution Centre in Perth, Western Australia.

Financial Summary
BRIEF: For the six months ended 31 December 2011, Charter Hall Group's revenues increased 27% to A$59.7M. Net income decreased 58% to A$19.6M. Revenues reflect an increase in income from funds management and property investment segment. Net income was offset by a decrease in gain on sale of investments, an increase in employee benefit expenses, higher finance costs, a decline in foreign exchange gains and a rise in legal & consulting costs.

Business Address


Level 11, 333 George Street
SYDNEY, NSW 2000
Phone: 61-2-89084000
Fax: 61-2-89084040
http://www.charterhall.com.au/

ASX Share Price Information
Current Price 2.17
Current Price Date 21/05/2012
52 Week Hi/Low 2.55 - 1.58
Avg Volume Last ten Days 1.11
ASX Company Sizing
Market Cap 669.96
Revenues 745.55
EBITDA 16.12
Net Income 52.34
Number of Employees 0
Enterprise Value 745.55
Research Analyst Forecast
Consensus Recommendation Outperform
Target Price 2.47000
LT Growth Rate 8.0550
Projected P/E 9.18013
Sales 118.22950
EPS 0.23638
Profit 65.94670
DPS 0.18188
Share Ratios
EPS 0.17058
RPS 0.34355
BV per Share -0.32765
Cash per Share 0.08574
Cashflow per Share 0.18170
Cashflow per Share 0.16500
Financial Ratios
Gross Margin 95.35400
ROE -
Price/Sales 6.11310
P/E 12.72130
P/Book -