Results and Accounts
- PDF - 627.56 kB3rd quarter 2012 activity
- PDF - 399.91 kBEtats financiers semestriels consolidés au 30 juin 2012
- PDF - 1.47 MBFirst half of 2012 : Net current cash flow of 113 million euros up 13% on the 1st half of 2012
- PDF - 442.52 kBActivity for the 1st quarter of 2012
- PDF - 2.25 MBConsolidated financial statements - December 31, 2011
- PDF - 1.52 MBIcade's annual results 2011 : net current cash flow of €223 million, up by 28% at december 31, 2011.
- PDF - 765.89 kBSubstantial growth in turnover as at 30th september 2011
- PDF - 1.47 MBIcade's first half 2011 results : strong increase in net current cash flow
- PDF - 485.96 kB1st quarter 2011 activity
- PDF - 493.70 kBAnnual results - A leading commercial property investment division combined with a development activity that accelerates future growth in cash flow
- PDF - 148.94 kBIcade Q3 2009 Turnover
- PDF - 599.08 kBAnnexes to the press release "Profits up 22% at 30th June 2009 and a resilient portfolio of assets"
- PDF - 158.84 kBProfits up 22% at 30th June 2009 and a resilient portfolio of assets
- PDF - 133.41 kBProperty investment activity turnover holds up well at 31st March 2009 (+7.4%) - Icade turnover down 7.5% due to the expected decline in property development business
- PDF - 490.00 kBProfits up 18% and a resilient portfolio of assets up 11%
- PDF - 110.52 kBTurnover up 12.9% as at 30 September 2008
- PDF - 405.07 kBIcade S1 2008 results
- PDF - 142.12 kBIcade - Earnings up 18.8% as at 31 March 2008
- PDF - 644.25 kBIcade - Consolidated accounts 31st december 2007
- PDF - 646.68 kBSharp rise in Icade's earnings and revalued net asset value in 2007
