11th Jun 2025 11:15
Schroder Real Estate Investment Trust Ltd - active property manager that aims to improve the sustainability performance of buildings to generate higher income and capital growth - Net asset value per share rises 4.8% to 61.6 pence as at March 31 from 58.8p a year before; total NAV is GBP301.4 million, up from GBP287.4 million. NAV total return for the financial year is 11%, compared to 1.1% a year before, reflecting the company's "strongest" annual performance since 2022. IFRS profit is GBP31.1 million, up sharply from GBP3.1 million, reflecting positive portfolio revaluation movement. Read More