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NAV Update

15th Apr 2013 07:00

RNS Number : 2816C
Japan Residential Inv. Co. Ltd
15 April 2013
 



15 April 2013

 

Japan Residential Investment Company Limited

(the "Company")

 

Update on Net Asset Value

 

The Net Asset Value ("NAV") for the Company as of 28 February 2013 (unaudited) was 66.7 pence per share (¥93.6 per share) compared to 69.7 pence per share (¥92.1 per share) as at 30 November 2012. This NAV reflects an increase of 1.0 pence from underlying profit and a decrease of 4.0 pence due to net currency translation and foreign exchange movement. The calculation of NAV is based on the most recent external valuation of investment properties as at 30 November 2012.

The Net Asset Value in Sterling is determined using the Yen: Sterling exchange rate of JPY140.348, which was the prevailing rate as at 28 February 2013 (30 November 2012: JPY132.063).

 

 

 

Enquiries:

 

KK Halifax Management Limited

Manager

 

Edward Barrow

+65 6593 8904

KK Halifax Asset Management

Investment Adviser

 

Alec Menikoff

+81 (0)3 5563 8771

Smith & Williamson Corporate Finance Limited

Nominated Adviser

 

Azhic Basirov

David Jones

+44 (0)20 7131 4000

Liberum Capital Limited

Joint Broker

 

Richard Bootle

+44 (0)20 3100 2222

Westhouse Securities Limited

Joint Broker

 

Alastair Moreton

Darren Vickers

+44 (0)20 7601 6100

 

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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