Sfs Real Estate Investment TrustNSENG: SFSREIT

Year end - financial statement for 2025

· Issued by Sfs Real Estate Investment Trust


SFS REAL ESTATE INVESTMENT TRUST FUND STATEMENT TO THE NIGERIAN EXCHANGE GROUP AND THE SHAREHOLDERS ON THE UNAUDITED IFRS RESULTS FOR THE PERIOD ENDED 31 DECEMBER 2025 SFS REAL ESTATE INVESTMENT TRUST FUND FINANCIAL STATEMENTS FOR THE PERIOD ENDED 31 DECEMBER 2025 CONTENT PAGE

Statement of Comprehensive Income 3

Statement of Financial Position 4

Statement of Changes in Equity 5

Statement of Cash Flows 6

Notes to the Financial Statements 7

SFS REAL ESTATE INVESTMENT TRUST FUND STATEMENT OF COMPREHENSIVE INCOME FOR THE PERIOD ENDED 31 DECEMBER 2025

Notes

Dec-25 N'000

Dec-24 N'000

Total Income

2

716,220

554,913

Admin and Other Expenses

3

(81,913)

(77,822)

Net Income

634,307

477,091

Basic Earnings per Unit

31.72

23.85

The notes on page 7 form an integral part of these financial statements.

3

SFS REAL ESTATE INVESTMENT TRUST FUND STATEMENT OF FINANCIAL POSITION

FOR THE PERIOD ENDED 31 DECEMBER 2025

Assets

Dec-25 N'000

Dec-24 N'000

Investment property 4

2,029,450

1,978,793

Investment in Securities 5

1,169,654

465,593

Total Non Current Assets

3,199,104

2,444,386

Debtors and Other Assets 6

267,209

1,510

Cash and cash equivalents

132,853

1,026,977

Total Current Assets

400,062

1,028,487

Total Assets

3,599,166

3,472,873

Liabilities

Payables

(40,233)

(150,097)

Unclaimed Dividend

(418,137)

(423,137)

Deferred Income

(151,270)

(118,975)

Total Current Liabilities

(609,639)

(692,209)

Net Assets

2,989,527

2,780,664

Represented By:

Unitholders' Equity

2,000,000

2,000,000

Revenue Reserve

989,527

780,664

Unitholders' Equity

2,989,527

2,780,664







The financial statements has been approved and authorised for issue by the Board of Directors on January 30, 2026 and signed on its behalf by;

…………………………………………..

……………………………………..

…………………………………………..

PATRICK ILODIANYA

AKINYEMI GBENRO

DIMEJI SONOWO

MANAGING DIRECTOR

DIRECTOR

EXECUTIVE DIRECTOR

FRC/2013/ICAN/00000002177

FRC/2013/CIBN/00000002091

FRC/2013/ICAN/00000002089

The notes on page 7 form an integral part of these financial statements.

4

SFS REAL ESTATE INVESTMENT TRUST FUND STATEMENT OF CHANGES IN EQUITY

FOR THE PERIOD ENDED 31 DECEMBER 2025

Share Capital

Retained Earnings

Total Equity

Balance as at January 1, 2024

2,000,000

593,573

2,593,573

Changes in Accounting Policy

-

-

-

Restated Balance

Changes in Equity for the Prior Year:

Distribution

-

-

-

-(290,000)

-

-(290,000)

Total Comprehensive Income

-

477,091

477,091

Balance as at December 31, 2024

2,000,000

780,664

2,780,664

Changes in Equity Current year:

Distribution

-

(430,000)

-

(430,000)

Writeback of accrued expenses

4,556

4,556

Total Comprehensive Income

-

634,307

634,307

Balance as at December 31, 2025

2,000,000

989,527

2,989,527

The notes on page 7 form an integral part of these financial statements.

5

SFS REAL ESTATE INVESTMENT TRUST FUND STATEMENT OF CASH FLOW

FOR THE PERIOD ENDED 31 DECEMBER 2025

Dec-25

Dec-24

N'000

N'000

Cash Flow from Operating Activities

Rental Income Received

206,963

477,091

Operating Cash Payments

(25,709)

(172,411)

(Increase)/Decrease in prepayments & receivables

(1,988)

(327)

Increase/ (Decrease) in payables & accruals

(66,624)

31,566

Net Cash Generated from Operating Activities

112,641

335,919

Cash Flow from Investing Activities

Purchase of Investment Properties

(129,225)

(89,843)

Proceeds on Disposal of Property

281,750

252,411

Investment in Securities

(724,290)

108,878

Unclaimed distribution

(5,000)

(45,809)

Net Cash flow used in Investing Activities

(576,765)

225,637

Cash Flow from Financing Activities

Distribution Paid

(430,000)

(290,000)

Net Cash flow used in Investing Activities

(430,000)

(290,000)

Net Increase/Decrease Cash and Cash Equivalent

(894,124)

271,556

Cash and Cash Equivalent Beginning of period

1,026,977

755,421

Cash and Cash Equivalent End of period

132,853

1,026,977

The notes on page 7 form an integral part of these financial statements.

6

SFS REAL ESTATE INVESTMENT TRUST FUND NOTES TO THE FINANCIAL STATEMENT FOR THE PERIOD ENDED 31 DECEMBER 2025

1 Reporting entity

The SFS Real Estate Investment Trust Fund is a fund incorporated under the laws of Nigeria. The address of the Fund's registered office is Plot 287, Ajose Adeogun Street., Victoria Island, and Lagos. It is governed by a Trust Deed approved by the Securities and Exchange Commission. The fund's units are listed on the Floor of the Nigerian Stock Exchange. Its financial statements are filed with Securities and Exchange Commission and other regulatory authorities.

The SFS Real Estate Investment Trust Fund is a close - ended Real Estate Investment Trust (REIT), primarily involved in acquiring investment properties which are held for capital appreciation.

The investment activities of the fund are managed by SFS Capital Nigeria Limited (the fund manager) while Apel Capital and Trust Limited are the Trustees.

The fund management is carried out by SFS Capital Nigeria Limited.

2 Total Income

Dec-25

N'000

Dec-24

N'000

Fixed Interest Income

197,649

176,599

Rental Income

219,673

205,903

Profit on investment property disposal

298,897

172,411

716,220

554,913

3 Other Operating Expenses

Dec-25 N'000

Dec-24 N'000

Manager's Fees

40,945

41,757

Trustee fee

2,509

2,500

Custodian fee

2,321

2,321

Registrars' fee

566

661

Audit Fee

3,100

2,500.00

Other administrative expenses

20,517

18,245

Insurance

1,827

1,900

Annual report publication and dividend expenses

8,930

5,892

Fund Rating

1,200

1,000

GM Expenses

-

1,047

81,913

77,822

4 Investment in Properties

Dec-25

Dec-24

Cost

Cost

Description

N'000

N'000

Properties in Victory Park Estate Lekki

376,493

376,493

Properties in Sapphire Gardens Awoyaya

132,000

132,000

Properties in Bourdillon Court Lekki

274,336

315,000

Properties in Milverton Lekki

607,720

650,000

Properties in Cromwell Estate

75,300

75,300

Properties in Maben Estate

252,000

252,000

Properties in Victoria Crest Estate

182,225

178,000

Properties in Northern Foreshore Estate

129,375

-

2,029,450

1,978,793

The cost model is used in the measurement of investment properties.

The properties have a combined value of N5,512,500,000 by Ubosi Eleh & Co Estate Surveyors & Valuers (FRC/2014/00000003997). Valuation was conducted in December 2025.

5 Investment in securities

Dec-25

Dec-24

N'000

N'000

Real Estate Related Investments

216,054

309,333

Investment in securities

953,600

156,260

1,169,654

465,593

6 Debtors and Other Assets

Dec-25

Dec-24

N'000

N'000

Prepaid expenses

1,251

1,089

Other Receivables

265,959

421

267,209

1,510

7

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