Performance highlights

Results for the year to 31 March 2025

Continued growth in NAV ahead of target

 

10.1%
Total return on opening NAV

£333m
Total return for the year to 31 March 2025

386.2p
NAV per share

£3,562m
NAV

On track to deliver the FY25 dividend target, 6.3% higher than FY25

 

£292m
Total income and non-income cash

12.65p
Full year dividend per share (FY24 full year dividend per share: 11.90p)

13.45p
2026 Target dividend per share

Read more about what we do, our business model and our portfolio.