Investor Relations

  • net

    £717.2M

    Net Asset Value (NAV)
     

    (30 June 2022)

  • gross

    £1,198M

    Gross Asset Value (GAV)
     

    (30 June 2022)

  • gross

    121.7p

    Net Asset Value (NAV)
    per ordinary share

    (30 June 2022)

  • HOW TO INVEST

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  • NEWS

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  • VIDEOS

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