TIDMTRY

RNS Number : 3398X

TR Property Investment Trust PLC

19 December 2023

 
 From:    TR Property Investment Trust plc 
 
 Date:    19 December 2023 
 
 LEI:     549300BPGCCN3ETPQD32 
 
                                                                    18 December 
                                           NET ASSET VALUES as at    2023 
 
          Ordinary Shares 
 
  Unaudited net asset value per Ordinary share including 
   current financial year revenue items                                  358.3p 
  (including debt marked at fair value)                                  358.4p 
  Unaudited net asset value per Ordinary share excluding 
   current financial year revenue items                                  355.3p 
  (including debt marked at fair value)                                  355.4p 
 

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December 19, 2023 07:46 ET (12:46 GMT)

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