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Residential Secure Income plc Net Asset Value & Corporate Update

Residential Secure Income plc ("ReSI") (LSE: RESI), which invests in affordable Shared Ownership, retirement and Local Authority housing, is pleased to announce its unaudited third quarter net asset value ("Net Asset Value" or "NAV") as at 30 June 2019 and to provide an update on its corporate activity since 31 March 2019. Financial highlights: IFRS NAV per share of 107.9 pence1 (31 March 2019: 107.7 pence), resulting in a total return for the quarter of 1.5p and taking the total return to 6.0p for the financial year to date and 15.3p since the admission of ordinary shares on 12 July 2017 Total property portfolio value of £262.3 million, reflecting an increase in the like-for-like value of £

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ReSI Capital Management Limited

21-26 Garlick Hill,

London EC4V 2AU

0207 3820900

Media relations

​KL Communications

+44 (0) 20 3995 6673

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ReSI Capital Management Limited is part of the Gresham House Group.

Gresham House

Octagon Point
5 Cheapside
London EC2V 6AA