Brief: Ground Rents Income Fund NAV Of £99.7 Million As Of Sept 30, 2021
Dec 17 (Reuters) - Ground Rents Income Fund PLC GRIO.L :
* GROUND RENTS INCOME FUND PLC - NET ASSET VALUE ("NAV") OF
£99.7
MILLION AS OF SEPT 30, 2021 (30 SEPTEMBER 2020: £102.6 MILLION)
Source text for Eikon: ID:nRSQ9658Va
Further company coverage: GRIO.L
((Reuters.Briefs@thomsonreuters.com;;))
Recent news on Ground Rents Income Fund
See all newsGround Rents Inc Fnd - Resignation of non-executive directors
Ground Rents Inc Fnd - Holding(s) in Company
Ground Rents Inc Fnd - Non-executive director appointments
Brief: Ground Rents Income Fund Exchanges Contracts To Sell Former Portland Hotel In Hull For £1.45 mln
Ground Rents Inc Fnd - Disposal of the former Portland Hotel in Hull