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Picton Property Income Ltd - Net Asset Value(s)

Net Asset Value as at 31 March 2018. Net Assets increased to £487.4 million. NAV/EPRA NAV per share rose 2.1% to 90.4 pence. Total return for the quarter of 3.1%. Net gearing reduced to 26.7%. Dividend declared and improved cover. Dividend of 0.875 pence per share declared and to be paid on 31 May 2018. Annual dividend equivalent to 3.5 pence per share, delivering a...

Net Asset Value as at 31 March 2018. Net Assets increased to £487.4 million. NAV/EPRA NAV per share rose 2.1% to 90.4 pence. Total return for the quarter of 3.1%. Net gearing reduced to 26.7%. Dividend declared and improved cover. Dividend of 0.875 pence per share declared and to be paid on 31 May 2018. Annual dividend equivalent to 3.5 pence per share, delivering a...

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