Profile's ShareDataOnline
Google
 REINET
  • Home Page
  • Glossies
  • Forecasts
  • Email Alerts
  • News
  • Latest News
  • Archive
  • SENS
  • Dir Dealings
  • Fact Sheets
  • Summary
  • Detailed
  • Valuation
  • Performance
  • Performance
  • Market Stats
  • Intraday
  • Results
  • Comment
  • In Brief
  • Analysis
  • In Full
  •  
     Latest News: Reinet Investments SCA REINET [RNI]
     Wed, 29 Apr 2026 Official Announcement [RD] 
    Reinet - net asset value as at 31 March 2026
    As at 31 March 2026, the net asset value ('NAV') per share of Reinet Fund amounted to EUR38.55 (31 December 2025: EUR38.47) based on 171.3 million shares in issue.

    As at 31 March 2026, the NAV amounted to EUR6 603 million, an increase of EUR13 million from 31 December 2025.
    Click here for original article
     
     
    Click here for full news archive for this company
    Closing price data source: JSE Ltd. All other statistics calculated by ProfileData.
       

    Profile Group (Pty) Ltd. has taken care in preparing all information on this website, but does not accept any liability for errors or out-of-date information.
    Other Profile Group sites: FundsData Online (unit trust data) | Profile Group corporate site
    Terms of Conditions |  Privacy Policy |  PAIA manual |  Site Map |  © Copyright Reserved 2026  ]

      


    Powered by ProfileData


    Follow us on:


    Show me the New ShareData Online message.