Custodian REIT reports unaudited net asset value as at 30 June 2021 and dividend update

Custodian REIT (LSE: CREI), the UK commercial real estate investment company, today reports its unaudited net asset value (“NAV”) as at 30 June 2021, highlights for the period from 1 April 2021 to 30 June 2021 (“the Period”) and dividends payable.

You can view this update by clicking here.