Less Ads, More Data, More Tools Register for FREE

Pin to quick picksSLI.L Regulatory News (SLI)

  • There is currently no data for SLI

Net Asset Value(s)

5 Apr 2007 10:18

Standard Life Invs Property Inc Tst05 April 2007 STANDARD LIFE INVESTMENTS PROPERTY INCOME TRUST LIMITED 05 April 2007 31 March 07 - Net Asset Value The Net Asset Value per Ordinary Share of Standard Life Investments PropertyIncome Trust Limited at 31 March 2007 was 134.42 pence each, calculated under anadjusted International Financial Reporting Standards basis. This is an increaseof 1.3 percentage points over the adjusted IFRS Net Asset Value of 132.68 penceat 31 December 2006. This Net Asset Value figure incorporates the externalportfolio valuation at 31 March 2007. The adjusted Net Asset Value includes aprovision for payment of a proposed interim dividend of 1.690p per ordinaryshare and also adds back a provision for deferred taxation as the Board believesthis liability will not crystallise. The property portfolio will next be valued by an external valuer during June2007 and the next quarterly Net Asset Value will be published in early July2007. The unaudited IFRS Net Asset Value is calculated as follows: 31 March 2007 31 December 2006 £ £Property at market value 240,450,000 239,355,000Interest rate swap at market value 1,482,908 501,862Current assets 7,551,243 8,719,031Current liabilities (16,226,895) (7,382,911)Long term liabilities (91,701,478) (101,444,058)Deferred taxation* (6,895,522) (6,673,932) -------------- --------------IFRS Net Asset Value 134,660,256 133,074,992 Add back deferred taxation 6,895,522 6,673,932Proposed dividend for quarter ended (1,757,600) (1,757,600) -------------- --------------Adjusted IFRS Net Asset Value 139,798,178 137,991,324 -------------- -------------- -------------- --------------Number of shares in issue 104,000,000 104,000,000 -------------- -------------- -------------- --------------IFRS Net Asset Value per share (pence) 134.42 132.68 -------------- -------------- Reconciliation of IFRS Net Asset Value to UK GAAP Net Asset Value:Adjusted IFRS Net Asset Value 139,798,179 137,991,324 Reclassification of preference shares as equity 7,268,786 7,161,366Preference share adjustment to reflect (2,862,578) (2,727,030)capital redemption rightsInterest rate swap at market value (1,482,908) (501,862) ------------ -------------Adjusted UK GAAP Net Asset Value 142,721,611 141,923,931 ------------ ------------- ------------ -------------Number of shares in issue 104,000,000 104,000,000 ------------ ------------- ------------ -------------UK GAAP Net Asset Value per share (pence) 137.23 136.47 ------------ ------------- * for the purposes of the fund's net asset value announcements, the deferred taxstated is the value applicable at the previous quarter end. The deferred taxvalue has no effect on the adjusted IFRS NAV. Historical NAV per Ordinary Share are as follows: Adjusted IFRS NAV Adjusted UK GAAP NAV31/03/07 134.42p 137.23p31/12/06 132.68p 136.47p30/09/06 129.51p 134.37p30/06/06 130.20p 134.87p31/03/06 124.28p 130.46p31/12/05 116.46p 124.00p30/09/05 107.12p 114.31p30/06/05 103.88p 111.82p31/03/05 101.34p 106.63p31/12/04 99.00p 105.16p All Enquiries: The Company SecretaryNorthern Trust International Fund Administration Services (Guernsey) LtdTrafalgar CourtLes BanquesGY1 3Q1 Tel: 01481 745529Fax: 01481 745085 This information is provided by RNS The company news service from the London Stock Exchange
Date   Source Headline
12th May 201511:07 amPRNCompany Factsheet
7th May 201512:33 pmPRNNet Asset Value(s)
29th Apr 20153:10 pmPRNDividend Declaration
20th Apr 20155:17 pmPRNNotice of AGM
1st Apr 20157:00 amRNSAnnual Accounts
31st Mar 201512:34 pmPRNDTR 5.6.1 Disclosure
9th Mar 201511:38 amPRNSLIPIT Purchase
3rd Mar 201512:02 pmPRNIssue of Equity - Replacement
26th Feb 201512:49 pmPRNIssue of Equity
20th Feb 20159:14 amPRNResult of Placing
12th Feb 20159:08 amPRNIntention to issue equity
28th Jan 201512:48 pmPRNUnaudited Net Asset Value
27th Jan 201511:11 amPRNInterim Dividend
5th Jan 201511:04 amPRNREIT Conversion
2nd Jan 20159:00 amPRNDirectorate Change
2nd Dec 201412:00 pmPRNDTR 5.6.1 disclosure
26th Nov 201412:08 pmPRNHolding(s) in Company
24th Nov 20141:49 pmPRNSLIPIT Purchase
20th Nov 20144:10 pmPRNResults of General Meeting
13th Nov 20143:27 pmPRNResults of Placing
13th Nov 20147:00 amPRNProposed Placing
12th Nov 201410:50 amPRNSLIPIT Purchase
4th Nov 201411:09 amPRNDividend Declaration
29th Oct 20143:44 pmPRNConversion to UK REIT
28th Oct 20147:00 amRNSUnaudited Net Asset Value
20th Oct 201411:47 amPRNResults of General Meeting
30th Sep 20145:16 pmPRNPublication of a Circular
30th Sep 201412:07 pmPRNDTR 5.6.1 Disclosure
25th Sep 20149:34 amPRNSale of Assets by SLIPIT
22nd Sep 20145:50 pmPRNIssue of Equity
22nd Sep 20141:45 pmPRNPublication of Supplementary Prospectus
19th Sep 20142:37 pmPRNSLIPIT Purchase
29th Aug 201411:25 amPRNHalf-yearly Report
15th Aug 20144:32 pmPRNBlock Listing Return
12th Aug 20149:39 amPRNSLIPIT Purchase
1st Aug 20143:41 pmPRNHolding(s) in Company
1st Aug 201412:49 pmPRNDirector Dealing
31st Jul 201411:34 amRNSHolding(s) in Company
30th Jul 20145:27 pmRNSHolding(s) in Company - Replacement
29th Jul 20144:29 pmRNSHolding(s) in Company
28th Jul 201410:00 amRNSIssue of New Ordinary Shares
16th Jul 20142:59 pmRNSCompliance with Model Code
16th Jul 201412:23 pmRNSInitial Placing and Offer Price
16th Jul 201412:18 pmRNSUnaudited Net Asset Value
4th Jul 20144:48 pmRNSLink to Prospectus
4th Jul 20147:00 amRNSDividend Declaration
1st Jul 20145:13 pmRNSPublication of Prospectus
25th Jun 20149:38 amRNSResult of General Meeting
19th Jun 20141:44 pmRNSSLIPIT Purchase
12th Jun 20149:39 amRNSSale of Assets by SLIPIT

Due to London Stock Exchange licensing terms, we stipulate that you must be a private investor. We apologise for the inconvenience.

To access our Live RNS you must confirm you are a private investor by using the button below.