Corporate Information And Statement Of Ifrs Compliance [Abstract]

alstria office REIT-AG - Filing #6536520

Concept 2023-01-01 to
2023-12-31
As at
2022-12-31
2022-01-01 to
2022-12-31
As at
2021-12-31
2021-01-01 to
2021-12-31
Corporate information and statement of IFRS compliance [abstract]
Name of reporting entity or other means of identification
alstria office REIT-AG
Legal form of entity
börsennotierte Immobilienaktiengesellschaft im Sinne des deutschen REIT-Gesetzes
Country of incorporation
Deutschland
Description of nature of entity's operations and principal activities
Die Hauptaktivitäten der Gesellschaft und ihrer Tochterunternehmen (zusammen alstria oder der Konzern) sind der Erwerb, die Verwaltung, die Nutzung und die Veräußerung von eigenem Grundbesitz sowie die Beteiligung an Unternehmen, die eigenen Grundbesitz erwerben, verwalten, nutzen oder veräußern.
Name of parent entity
Alexandrite Lake Lux Holdings S.à r.l., Luxemburg, Großherzogtum Luxemburg,
Name of ultimate parent of group
Brookfield Corporation (vormals Brookfield Asset Management Inc.), Toronto, Kanada
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 payables
3,581 EUR
3,487 EUR
Explanation of sources of estimation uncertainty with significant risk of causing material adjustment
1.3.1. Ermessensentscheidungen
Disclosure of assets and liabilities with significant risk of material adjustment [text block]
1.3.2. Schätzungen und Annahmen
Disclosure of objectives, policies and processes for managing capital [text block]
Die Kapitalmanagementaktivitäten der Gesellschaft sind auf die Beibehaltung ihres REIT-Status ausgerichtet, um ihre Geschäftstätigkeit zu unterstützen und den Unternehmenswert zu maximieren.
Dividends recognised as distributions to owners per share
425.0000
53.0000
Dividends proposed or declared before financial statements authorised for issue but not recognised as distribution to owners
10,698 EUR
Dividends proposed or declared before financial statements authorised for issue but not recognised as distribution to owners per share
6.0000

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