- Ediston Property Investment Co's net asset value per share rose to 101.08p at the end of December.

This is the first NAV announcement since launch on 28 October.

As at 31 December the company owned investment properties with a fair value of £84.1m and had cash balances of approximately £11.4m.

The unaudited NAV at 31 December 2014 was £96.03m, or 101.08 pence per share, an increase of 5.13% on the Company's NAV (after launch and portfolio acquisition costs) on 28 October.

At 8:41am: [LON:EPIC] Ediston Property Investment Company Plc Ord 1p share price was +0.25p at 106.25p

Story provided by