COLÓN VIVIENDAS SOCIMI

15/11/2018

Close Price Date

2.2000

Close Price

Suspended 04/07/2018

Last Trade

Date

11/06/2018

Last

2.2200

Ref.

2.2200

Dif.(%)

0.00

Volume (Shares)

441

Turnover (€x1000)

0.98

Security

Security name

COLON VIVIENDAS

Ticker

YCOL

ISIN

ES0119462002

NIF

A-86695483

Shares Admitted

9.000.000

Nominal

1 Euros

Capital Admitted

9.000.000,00 Euros

Trading

Fixing

Liquidity Provider

BNP PARIBAS, Sucursal en España, S.A.

Registered Advisor

ARMABEX ASESORES REGISTRADOS, S.L.

Auditor

DELOITTE, S.L

Address

C/ SERRANO 30, 28001 MADRID

Contact

inversorescolon@azora.es

Historical Summary

 20172018 until 15/11

Capital Admitted (thousands of euros)

9,0009,000

Shares (x 1,000)

9,0009,000

Period Close Price (euros)

2.13002.2000

Period Last Price (euros)

2.13002.2200

Period High Price (euros)

2.13002.2200

Period Low Price (euros)

2.13002.1800

Capitalisation (thousands of euros)

19,17019,800

Volume (thousands of shares)

12

Turnover (thousands of euros)

15

Company Profile

Colón Viviendas was established in April 2013 with the main objective of acquiring (directly or indirectly) and managing real estate assets located in Spain in the long term and exploit them through their lease. The company is attached to the regime of Listed Real Estate Investment Companies (REITs) since September 2015 and also listed on the Alternative Investment Market (MAB).

The Company benefits from the tax advantages associated with the SOCIMI regime and the active management of the assets acquired to maximize the value of its portfolio and, therefore, the shareholders returns.

The Company's strategy is not about actively seek new investments, it is about incorporating assets into the portfolio when opportunities that are in line with its investment policy arise.

Colón Viviendas is a vehicle managed externally and exclusively by Azora Gestión, S.G.I.I.C., S.A., a manager regulated by the National Securities Market Commission (CNMV) that belongs to the Azora Group. The Azora Group is made up of independent private equity managers specialized in real estate investment. Founded in 2003 and composed of a team of more than 400 professionals who currently manage assets worth over 4.1 billion euros.

The Company is governed by a Board of Directors (composed of five directors) with proven experience in the real estate market, whose mission is to supervise the management and investments of the company.

Relevant Facts and Notices

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