NAV at Warehouse REIT nudges up


Warehouse REIT has posted a rise in EPRA net asset value (NAV) per share from 102.1p to 105.7p in its interim results.

The value of the AIM-listed specialist warehouse investor’s portfolio stood at £284.3m at 30 September 2018, following £15m of disposals during the period, which represents a 1.6% like-for-like increase on the valuation at the end of March, or a 2.9% increase taking into account the disposed assets.

This is premium content

You must be logged in to view premium stories.

Gated access promo

Subscribe for full access

Take out a print and online or online only subscription and you will get immediate access to:

  • Breaking industry news as it happens
  • Expert analysis and comment from industry leaders
  • Unlimited access to all stories, including premium content
  • Full access to all our online archive

To get access to premium content subscribe today

Alternatively REGISTER for a free trial to access up to 4 articles and sign up for email alerts

If you are already a registered user or a subscriber you can SIGN IN now