NAV declined to GBP 0.749 per share due to lower revenues and revised forecasts, but the portfolio remains diversified with strong contracted income and market-leading availability. The new strategy focuses on capital recycling, shareholder distributions, and targeted augmentations, with quarterly…
NAV declined to GBP 0.749 per share due to lower revenues and revised forecasts, but the portfolio remains diversified with strong contracted income and market-leading availability. The new strategy focuses on capital recycling, shareholder distributions, and targeted augmentations, with quarterly dividends planned.
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