REG - North American IT - Net Asset Value(s)

London Stock Exchange
2026.02.19 12:14
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As of February 18, 2026, the unaudited net asset value (NAV) per share of the North American Income Trust was reported at 413.7p, with a fair value NAV of 415.9p. Excluding current financial year revenue items and treasury shares, the NAV was 408.5p, and the fair value NAV was 410.8p. The fair value of the company's senior unsecured notes is estimated using a discount rate based on the US Treasury's redemption yield, updated monthly.