Edition:
India

Reinet Investments End-Sept NAV Per Share EUR 24.71


Friday, 16 Nov 2018 

Nov 16 (Reuters) - REINET INVESTMENTS SCA ::NET ASSET VALUE AT 30 SEPTEMBER 2018 REFLECTS A DECREASE OF EUR 286 MILLION OR 5.6 PER CENT FROM EUR 5 127 MILLION AT 31 MARCH 2018.REINET DIVIDEND OF SOME € 35 MILLION, OR € 0.18 PER SHARE, PAID DURING THE PERIOD.END-SEPT LOSS ATTRIBUTABLE TO SHAREHOLDERS EUR 251 MILLION VERSUS EUR 572 MILLION YEAR AGO.END-SEPT TOTAL INCOME EUR 123 MILLION VERSUS EUR 186 MILLION YEAR AGO.NET ASSET VALUE PER SHARE AT 30 SEPTEMBER 2018: EUR 24.71 (31 MARCH 2018: EUR 26.17). 

Company Quote

24023.0
373.0 +1.58%
19 Jul 2019