Net Asset Value 31 December 2017

28 February 2018
AXA Property Trust Limited
Net Asset Value 31 December 2017 (Unaudited)
 

FUND NAME NAV PER
SHARE
NET ASSET VALUE
(£000s)
NAV DATE
AXA Property Trust Limited 63.69p 14,906 31 December 2017

The Company will be releasing its Half Year Report and Financial Statements in the next few weeks.
 

Company website:
retail.axa-im.co.uk/axa-property-trust

All Enquiries:
 
Investment Manager 
AXA Investment Managers UK Limited
Broker Services
7 Newgate Street
London EC1A 7NX
United Kingdom

Broker
Stifel Nicolaus Europe Limited
150 Cheapside
London EC2V 6ET
United Kingdom
Tel: +44 (0)20 7710 7600
 
Company Secretary
Northern Trust International Fund
Administration Services (Guernsey) Limited
PO Box 255
Trafalgar Court
Les Banques
St Peter Port
Guernsey GY1 3QL
Channel Islands

 

UK 100

Latest directors dealings