By David Parsley2022-11-16T08:57:00
Net asset value (NAV) at Schroder Real Estate Investment Trust dipped during the first half of its financial year to the end of September to £366m, or 74.8p per share, compared to £372.2m, or 75.8p per share, six months earlier.
Net asset value (NAV) at Schroder Real Estate Investment Trust dipped during the first half of its financial year to the end of September to £366m, or 74.8p per share, compared to £372.2m, or 75.8p per share, six months earlier.
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