NAV declined to 74.9p due to lower revenues and revised forecasts, but the portfolio remains diversified and resilient, with strong performance in Ireland and Germany. The new strategy focuses on capital recycling, quarterly dividends, and prudent growth, with ongoing augmentation projects and cost…
NAV declined to 74.9p due to lower revenues and revised forecasts, but the portfolio remains diversified and resilient, with strong performance in Ireland and Germany. The new strategy focuses on capital recycling, quarterly dividends, and prudent growth, with ongoing augmentation projects and cost savings supporting future value.
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