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Investor Presentaiton

Results summary Metrics as at 30 June 2014 Income Rural Funds Management $13,698,369 $489,677 7.21 Results in line with expectations for the period Accounts reflect 6 months and 13 days of operation, being 19 December to 30 June 2014 Revenue Net Profit after income tax Earnings (CPU) Portfolio Net assets value (NAV) NAV per unit Balance sheet Gross assets External borrowings $6,608,016 $0.97 $8,906,106 Nil Distributions Declared December 2014 (CPU) 3.31 Declared March 2014 (CPU) 3.31 Declared June 2014 (CPU) 3.31 6
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