Nippon Building Fund (REIT)8951.T

Office · Japan · Japan-focused · JPY

Current yield
+3.60%
5y avg yield
+3.52%
NAV premium / discount
-64.59%
Safety score
0/100

Latest fundamentals

Report date: 2026-04-21 · source

NAV per share383810.2000
Price / NAV0.354
Payout ratio0.990
Debt / assets (%)
Occupancy (%)
Coverage ratio
WALE (years)
Last distribution / unit2460.0000

Occupancy, coverage ratio, and WALE come from quarterly reports and are filled in manually. Empty cells mean the latest report hasn't been processed yet.

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