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発表日 時刻 コード 企業名
02/24 12:00 3226 日本アコモデーションファンド投資法人
Notification of Borrowing Funds その他
, Limited 2.0 billion yen 0.11227% Loan Type & Repayment Method Unsecured & unguaranteed, Bullet repayment Date of Loan Date of Maturity February 28, 2022 May 31, 2022 2. Use of Funds To apply the funds toward the repayment of short-term loans ¥2.0 billion concluded on November 30, 2021. 3. Status of
02/24 12:00 3269 アドバンス・レジデンス投資法人
Notice Concerning Acquisition of Investment Assets (RESIDIA Kanda-Awajicho, RESIDIA Ogikubo III) その他
Incorporation of ADR, for steady increase in asset size, and diversification and enhancement of the portfolio. Name of The Asset-To-Be- Acquired Proposed Acquisition Price (Price / Appraisal ratio) Real Estate Appraisal Value (Note 3) (Note 2) RESIDIA Kanda-Awajicho (Beneficiary Interests in Trust) 1
02/24 12:00 3281 GLP投資法人
Borrowing of Funds (Including Sustainability Loan) and Signing of Interest Rate Swap Agreement その他
method Security Syndicate of lenders arranged by Sumitomo Mitsui Banking Corporation, MUFG Bank, Ltd. and Mizuho Bank, Ltd. (Note 1) Syndicate of lenders arranged by Sumitomo Mitsui Banking Corporation, MUFG Bank, Ltd. and Mizuho Bank, Ltd. (Note 2) (Sustainability Loan) Syndicate of lenders arranged
02/24 12:00 3309 積水ハウス・リート投資法人
Notice Concerning Establishment of Interest Rate Swap その他
interest rate payable into a fixed rate for the floating interest rate borrowing based on the individual loan agreement concluded on February 22, 2022 stated in “(2) Content of Interest Rate Swap” below. (2) Content of Interest Rate Swap a. Interest rate swap agreement (Contract period: 6 years) (i
02/24 12:00 3462 野村不動産マスターファンド投資法人
Notice Concerning Debt Financing (Determination of Loan Interest Rate) その他
in the next month. (Note 2) The interest payment dates are the 26th of every February and August, beginning August 26, 2022, until the Repayment Date, as well as the Repayment Date. If any of these days is a non-business day, the interest payment date will be the following business day, or the prior
02/24 12:00 3462 野村不動産マスターファンド投資法人
Notice Concerning Extension of Termination Date of Commitment Line Agreement その他
Current commitment termination date : March 30, 2024 Extended commitment termination date : March 30, 2025 2. Commitment Line Agreement 1. Lender : MUFG Bank, Ltd., Sumitomo Mitsui Banking Corporation 2. Amount : ¥10 billion in total 3. Date of Contract : March 24, 2016 4. Commitment Commencement Date
02/24 12:00 3453 ケネディクス商業リート投資法人
Notice Concerning Acquisition of Properties (Kitera Plaza Aobadai, Tenri Distribution Center) その他
Property name Location price (million yen) yield (%) Brokerage (Note 1) (Note 2) (Note 3) NSC Kitera Plaza Aobadai Aoba-ku, Yokohama, (Note 4) Kanagawa 2,553 4.7 Y L Tenri Distribution Center Tenri, Nara 1,070 5.5 Y Total acquisition price / Average NOI yield (%) 3,623 4.9 - (1) Contract date: February
02/24 12:00 8961 森トラスト総合リート投資法人
Notice of New Loans and Extension of period of Credit Line Agreement (Uncommitted) その他
details of new loans and the extension of period of credit line agreement (uncommitted) as follows: Ⅰ. New Loans 1. Reason for loans Due to the repayment of existing loans, which reach maturity February 28, 2022. 2. Loan details [Long-term loans] (Million yen) Lender Loan Amount Interest Rate Sumitomo
02/24 12:00 8963 インヴィンシブル投資法人
December 2021 Fiscal Period Results (July 1, 2021 to December 31, 2021) その他
Invincible Investment Corporation December 2021 Fiscal Period Results (July 1, 2021 to December 31, 2021) TSE Code : 8963 February 24, 2022Table of Contents Ⅰ. Executive Summary 2~5 II. Summary of December 2021 FP Results Ⅱ-1. Financial Highlights 6 Ⅱ-2. Operating Revenue Composition 7 Ⅱ-3. Capital
02/24 12:00 8963 インヴィンシブル投資法人
Financial Summary for the December 2021 Fiscal Period (from July 1, 2021 to December 31, 2021) その他
- 3,806 (54.5) (2,341) - (3,599) - (3,599) - Fiscal period ended December 31, 2021 Fiscal period ended June 30, 2021 Net Income per Unit Net Income / Unitholders’ Equity Ordinary Income / Total Assets Ordinary Income / Operating Revenues JPY % % % 166 0.4 0.2 12.1 (590) (1.5) (0.7) (94.6) (2
02/24 12:00 8963 インヴィンシブル投資法人
Notice concerning Differences between Forecast and Actual Financial Results and Distribution for the 37th Fiscal Period Ended December 2021 その他
end of the fiscal period: 6,096,840 units 2. Reasons behind the differences The occupancy rate of domestic hotels exceeded expectations toward the end of 2021, and rental revenues exceeded the forecast by JPY 406 million. As a result, differences arose between the previous forecast and the actual
02/24 12:00 8963 インヴィンシブル投資法人
Performance Update for January 2022 その他
not been determined as of today. As a result, GOP 1 and NOI 2,3 for January 2022 have not been determined yet. The following are the details by segment. 2. Hotel Assets Overview (1) Domestic Hotels As for the domestic hotel portfolio 4 performance for the month of January 2022, the occupancy rate
02/24 12:00 8967 日本ロジスティクスファンド投資法人
Notice Concerning Borrowing Capital(Debt Cost) その他
exemption from registration under the Securities Act. The investment units referred to above will not be offered, publicly or otherwise, in the United States. -2-
02/24 12:00 8976 DAオフィス投資法人
Notice Concerning Borrowing of Funds その他
Repayment Date Sumitomo Mitsui Banking Corporation 1,000 The Gunma Bank, Ltd. 1,000 3 month Japanese Yen TIBOR + 0.300% (Note) 3 month Japanese Yen TIBOR + 0.325% (Note) 2022/2/28 Unsecured Repayment in lump sum 2029/2/28 2029/8/31 (Note ) Interest payments shall be made at the end of February, May
02/24 12:00 8976 DAオフィス投資法人
Notice Concerning Determination of Acquisition of Own Investment Units その他
today the acquisition of own investment units based on the provisions of Article 80-2 of the Act on Investment Trusts and Investment Corporations, which is applied by replacing the terms and phrases pursuant to the provisions of Paragraph 2, Article 80-5 of the said Act. Moreover, all the acquired own
02/24 12:00 8976 DAオフィス投資法人
Notice Concerning Settlement of Lawsuit Regarding Property その他
, amounts of legal costs, insurance proceeds, etc. have been finalized. 2. Future Prospect In the fiscal period ending May 2022 (33rd fiscal period), costs and income that were finalized with the Settlement (including settlement amount, legal costs, insurance proceeds, etc.) will be collectively recorded
02/24 12:00 3249 産業ファンド投資法人
Notice Concerning Acquisition and Leasing of Two Properties in Japan その他
Property name Location Seller IIF Iruma Manufacturing Center (land with leasehold interest) IIF Tochigi Moka Manufacturing Center (land with leasehold interest) Iruma-shi, Saitama Moka-shi, Tochigi (Note 2) (Note 3) Anticipated Appraisal acquisition (Note 4) value price (million yen) (million yen
02/24 12:00 3267 フィル・カンパニー
[Delayed]Fiscal year ended November 30,2021 Financial Results Explanatory Materials その他
Income 171,417 187,659 415,076 600,812 19,660 407,470 Net Income margin (10.2%) (6.3%) (8.7%) (8.5%) (0.4%) (7.5%) Copyright © Phil Company, Inc. All Rights ReservedFiscal year ended Nov. 2021 (digest) 2 3 projects in the developed and sales scheme contributed to profits. 4 (Units: Thousands yen
02/24 12:00 3267 フィル・カンパニー
[Delayed]Fiscal year ending November 30,2022 Mid-term management plan その他
facilities utilizing the space above parking areas Urban niche spaces with commercial potential Restaurants, office, beauty, clinic, etc. Residences with garages (large enough for 2 cars) Suburban (far from train stations) and rural areas Garage for car and hobby room Investment 80 – 150 million yen 20
02/24 12:00 3267 フィル・カンパニー
[Delayed]Summary of Earnings Report for the Fiscal Year Ended November 2021 その他
71.26 14.5 13.5 13.3 Year Ended Nov. 2020 3.42 3.37 0.7 1.9 3.3 (note) Comprehensive income Year Ended Nov. 2021 -1 million yen Year Ended Nov. 2020 -21 million yen (2) Consolidated Financial Conditions Total assets Net Assets Shareholders' Equity Ratio Net Asset per Share ¥ millions ¥ millions % Yen