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)

11 Jul 2011 12:45

RNS Number : 1541K
Standard Life Invs Property Inc Tst
11 July 2011
 



STANDARD LIFE INVESTMENTS PROPERTY INCOME TRUST LIMITED

30 JUNE 2011

 

Key Highlights

 

·; Net asset value per ordinary share was 62.2p as at 30 June 2011, a decrease of 2.9% from 31 March 2011

·; Cash held by the Trust of £15.8m as at 30 June 2011

·; Property worth £2.2m sold in Q2 2011

·; Dividend yield of 6.8% using the share price as at 8 July 2011 of 64.75p

 

Net Asset Value

 

The unaudited net asset value per ordinary share of Standard Life Investments Property Income Trust Limited at 30 June 2011 was 62.2 pence. This is a decrease of 2.9% percentage points over the net asset value of 64.1 pence per share at 31 March 2011.

 

The net asset value is calculated under International Financial Reporting Standards ("IFRS") and includes a provision for payment of an interim dividend of 1.10p per ordinary share for the quarter to 30 June 2011.

 

The net asset value incorporates the external portfolio valuation by Jones Lang LaSalle at 30 June 2011. The property portfolio will next be valued by an external valuer during September 2011 and the next quarterly net asset value will be published thereafter.

 

Breakdown of NAV movement

 

Set out below is a breakdown of the change to the unaudited net asset value per share calculated under IFRS over the period 31 March 2011 to 30 June 2011.

 

Pence per share

% of opening NAV

Net Asset Value per share as at 31 March 2011

64.1

-

Loss - realised and unrealised following revaluation of property portfolio (including the effect of gearing)

 

(1.4)

 

(2.1)%

decrease in interest rate swap valuations

(0.5)

(0.8)%

Other movement in reserves

0.0

0.0%

Net Asset Value per share as at 30 June 2011

62.2

(2.9)%

 

Cash position

 

As at 30 June 2011 the Company had borrowings of £84.4m and a cash position of £15.8m (excluding rent deposits) therefore cash as a percentage of debt was 18.7%.

 

Loan to value ratio

 

As at 30 June 2011 the loan to value ratio (assuming all cash is placed with RBS as an offset to the loan balance) was 42.7% (31 March 2011 43.1%). The covenant level is 65%.

 

Interest Rate Swaps

 

The interest rate swaps had a negative impact on the NAV of 0.5p per share or 0.8% over the quarter, and the fair value liability is £(6.8)m as at 30 June 2011. This fair value will reduce to £nil by Dec 2013, although not on a straight line basis.

 

All Enquiries:

 

Jason Baggaley - Real Estate Fund Manager Standard Life Investments

Tel 0131 245 2833

 

The Company Secretary

Northern Trust International Fund Administration Services (Guernsey) Ltd

Trafalgar Court

Les Banques

GY1 3Q1

Tel: 01481 745324

Fax: 01481 745085

 

Appendix 1

 

Historical adjusted IFRS NAVs per Ordinary Share are as follows:

 

30/06/11

62.21p

31/03/11

64.09p

31/12/10

63.00p

30/09/10

61.37p

30/06/10

61.33p

31/03/10

59.56p

31/12/09

56.63p

30/09/09

51.28p

30/06/09

50.53p

31/03/09

52.49p

31/12/08

61.65p

30/09/08

87.24p

30/06/08

101.59p

31/03/08

102.71p

31/12/07

111.60p

30/09/07

130.70p

30/06/07

137.16p

31/03/07

134.42p

31/12/06

132.68p

30/09/06

129.51p

30/06/06

130.20p

31/03/06

124.28p

31/12/05

116.46p

30/09/05

107.12p

30/06/05

103.88p

31/03/05

101.34p

31/12/04

99.00p

 

 

 

 

 

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
NAVGGUGCMUPGGGG
Date   Source Headline
24th Apr 201212:30 pmRNSNet Asset Value(s)
23rd Apr 20121:30 pmRNSAcquisition
11th Apr 20125:00 pmRNSNotice of AGM
4th Apr 20121:40 pmRNSAnnual Information Update
30th Mar 20121:10 pmRNSDirector Declaration
26th Mar 20127:00 amRNSFinal Results
12th Mar 201212:00 pmRNSDirector/PDMR Shareholding
31st Jan 20123:00 pmRNSDividend Declaration
24th Jan 201212:30 pmRNSNet Asset Value(s)
23rd Jan 201210:50 amRNSNew Debt Facility
22nd Dec 20115:00 pmRNSDebt Facility - Replacement
22nd Dec 20112:15 pmRNSDebt Facility
19th Dec 201111:00 amRNSDisposal
28th Nov 20112:15 pmRNSDisposal
11th Nov 20113:55 pmRNSHolding(s) in Company
9th Nov 201112:50 pmRNSDividend Declaration
26th Oct 201111:05 amRNSRevised Net Asset Value
25th Oct 201112:30 pmRNSNational Storage Mechanism
21st Oct 20117:00 amRNSNet Asset Value(s)
3rd Oct 201111:45 amRNSAcquisition
21st Sep 20115:00 pmRNSHalf Yearly Report
26th Aug 201111:15 amRNSHalf Yearly Report
12th Aug 20113:36 pmRNSHolding(s) in Company
12th Aug 20112:54 pmRNSDirector/PDMR Shareholding
21st Jul 201110:30 amRNSIssue of Equity
21st Jul 20117:00 amRNSAcquisition
18th Jul 20114:37 pmRNSResults of Placing and Open Offer
15th Jul 20112:12 pmRNSHolding(s) in Company
11th Jul 20111:10 pmRNSIssue Price and Conversion Rate
11th Jul 201112:45 pmRNSNet Asset Value(s)
29th Jun 20115:35 pmRNSResult of EGM
29th Jun 20114:35 pmRNSDividend Declaration
27th Jun 20114:40 pmRNSDisposal
15th Jun 20113:35 pmRNSHolding(s) in Company
6th Jun 20114:40 pmRNSPublication of Circular and Prospectus
31st May 20119:20 amRNSProposed conversion of preference shares
24th May 20115:33 pmRNSResult of AGM
18th May 20112:05 pmRNSAnnual Information Update
13th May 20115:45 pmRNSDirector Declaration
4th May 20111:30 pmRNSDividend Declaration
19th Apr 20115:05 pmRNSNet Asset Value(s)
14th Apr 20115:13 pmRNSFinal Results
31st Mar 201111:05 amRNSDTR 5.6.1 Disclosure
7th Mar 20112:00 pmRNSIssue of Equity
28th Feb 201112:20 pmRNSDTR 5.6.1 Disclosure
16th Feb 20114:20 pmRNSIssue of Equity
15th Feb 201110:30 amRNSBlock Listing Application
1st Feb 20112:20 pmRNSDividend Declaration
18th Jan 20113:55 pmRNSNet Asset Value(s)
11th Jan 201110:20 amRNSAcquisition

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.