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TR Property Investment Trust plc reported its unaudited net asset values (NAV) per Ordinary share as at 16 September 2025. The NAV including current financial year revenue items was 344.5p, or 344.8p when including debt marked at fair value. The NAV excluding current financial year revenue items was 334.5p, or 334.8p when including debt marked at fair value.
| Date | 17 Sept 2025 |
| Time | 12:18:51 |
| Category | Corporate updates |
| ID | 7363Z |
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From: |
TR Property Investment Trust plc |
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Date: |
17 September 2025 |
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LEI: |
549300BPGCCN3ETPQD32 |
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NET ASSET VALUES as at |
16/09/25 |
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Ordinary Shares |
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Unaudited net asset value per Ordinary share including current financial year revenue items |
344.5 |
p |
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(including debt marked at fair value) |
344.8 |
p |
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Unaudited net asset value per Ordinary share excluding current financial year revenue items |
334.5 |
p |
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(including debt marked at fair value) |
334.8 |
p |
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