{
 "company": "Frasers Property Limited",
 "ticker": "SGX:TQ5",
 "source_page": "https://smidresearch.com/companies/frasers-property/",
 "information_cutoff": "28 August 2026",
 "licence": "Public evidence-library figures as filed by the issuer and recomputed by SMID Research; cite the page and its information cut-off. No rating, fair value, price target or recommendation is included. Not investment advice.",
 "tables": [
  {
   "index": 1,
   "section": "1. Reporting snapshot",
   "caption": "Reported group snapshot — S$m unless stated",
   "headers": [
    "Measure",
    "FY2025",
    "1H FY2026"
   ],
   "rows": [
    [
     "Revenue",
     "3,403.5",
     "1,508.6"
    ],
    [
     "PBIT",
     "1,186.2",
     "678.7"
    ],
    [
     "Attributable profit",
     "243.1",
     "88.4"
    ],
    [
     "Total assets",
     "39,747.6",
     "40,045.0"
    ],
    [
     "Gross borrowings",
     "17,663.1",
     "18,078.4"
    ],
    [
     "Cash and cash equivalents",
     "2,350.0",
     "1,964.8"
    ],
    [
     "Reported net gearing",
     "89.2%",
     "94.2%"
    ],
    [
     "Reported interest cover",
     "2.1×",
     "2.3×"
    ]
   ]
  },
  {
   "index": 2,
   "section": "2. Segment evidence",
   "caption": "Segment PBIT — S$m",
   "headers": [
    "Segment",
    "FY2025",
    "1H FY2026"
   ],
   "rows": [
    [
     "Singapore",
     "486.8",
     "233.5"
    ],
    [
     "Australia",
     "94.4",
     "34.6"
    ],
    [
     "Industrial & logistics",
     "414.1",
     "230.2"
    ],
    [
     "Hospitality",
     "111.2",
     "32.6"
    ],
    [
     "Thailand & Vietnam",
     "125.8",
     "102.6"
    ],
    [
     "Others",
     "71.2",
     "75.5"
    ],
    [
     "Corporate and unallocated",
     "(117.3)",
     "(30.3)"
    ]
   ]
  },
  {
   "index": 3,
   "section": "3. Debt, liquidity and maturity concentration",
   "caption": "Debt maturities at 31 March 2026 — S$bn",
   "headers": [
    "Financial year",
    "Consolidated",
    "Excluding listed REITs"
   ],
   "rows": [
    [
     "FY2026",
     "1.544",
     "1.304"
    ],
    [
     "FY2027",
     "4.559",
     "4.269"
    ],
    [
     "FY2028",
     "3.735",
     "2.871"
    ],
    [
     "FY2029",
     "3.471",
     "2.401"
    ],
    [
     "FY2030",
     "2.681",
     "1.618"
    ],
    [
     "After FY2030",
     "2.088",
     "0.605"
    ]
   ]
  },
  {
   "index": 4,
   "section": "5. Outstanding senior notes reviewed",
   "caption": "Covered FPL-guaranteed notes",
   "headers": [
    "Instrument",
    "Coupon",
    "Maturity",
    "Principal",
    "Filed terms"
   ],
   "rows": [
    [
     "Green Notes",
     "4.49%",
     "16 Sep 2027",
     "S$500m",
     "senior unsecured; issued by FPL Treasury; unconditional and irrevocable FPL guarantee; unrated at issue"
    ],
    [
     "Series 006 Notes",
     "3.50%",
     "28 Aug 2036",
     "S$150m",
     "senior unsecured; issued by FPL Treasury; FPL guaranteed; S$250,000 denomination; institutional/accredited distribution"
    ]
   ]
  }
 ]
}