Corporate Information And Statement Of Ifrs Compliance [Abstract]

Vitura - Filing #5981260

Concept As at
2024-12-31
2024-01-01 to
2024-12-31
As at
2023-12-31
2023-01-01 to
2023-12-31
Corporate information and statement of IFRS compliance [abstract]
Name of reporting entity or other means of identification
Vitura
Domicile of entity
France
Legal form of entity
société anonyme
Country of incorporation
France
Address of entity's registered office
42 rue de Bassano - 75008 Paris
Principal place of business
42 rue de Bassano - 75008
Description of nature of entity's operations and principal activities
Le Groupe détient, gère et développe un portefeuille immobilier valorisé à 877 millions d’euros au 31 décembre 2024, composé de quatre ensembles immobiliers de grande taille situés en région parisienne et constitué exclusivement d’immeubles de bureaux
Name of parent entity
Northwood
Statement of IFRS compliance [text block]
1
Disclosure of amounts to be recovered or settled after twelve months for classes of assets and liabilities that contain amounts to be recovered or settled both no more and more than twelve months after reporting date [text block]
Disclosure of amounts to be recovered or settled after twelve months for classes of assets and liabilities that contain amounts to be recovered or settled both no more and more than twelve months after reporting date [abstract]
Disclosure of amounts to be recovered or settled after twelve months for classes of assets and liabilities that contain amounts to be recovered or settled both no more and more than twelve months after reporting date [line items]
Current trade receivables
12 153 EUR
14 647 EUR
Current trade payables
5 177 EUR
6 158 EUR
Disclosure of assets and liabilities with significant risk of material adjustment [text block]
Les estimations risquant d’entraîner un ajustement significatif de la valeur comptable des actifs et des passifs au cours de la période suivante concernent essentiellement la détermination de la juste valeur du patrimoine immobilier et l’évaluation de la juste valeur des instruments financiers. La juste valeur du patrimoine est déterminée notamment en se basant sur l’évaluation du patrimoine effectuée par un évaluateur indépendant selon la méthodologie décrite en note 2.4.

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