1,120.00p

Share price at 22:06

Treasury management

We maintain prudent hedging policies against interest rates and foreign exchange exposure.  A significant proportion of our borrowings are fixed in nature or hedged by way of interest rate caps.  Euro assets are hedged through a combination of Euro-denominated borrowings and derivatives.

 
92% fixed interest debt (December 2016)
92%
debt fixed or
hedged
 
87% Euro balance sheet FX hedging (December 2016)
 
   
Working capital
FX derivatives
Investments (properties + loans)
Debt
 

 

Leavesden Park, Watford, UK (1)

Investor enquiries

Juliana Weiss Dalton, CFA
Investor Relations Director,
Kennedy Wilson Europe
+44 (0) 20 7479 7429