HICL sees net asset value rise

Infrastructure investor HICL saw its net asset value per share (NAV) increase in the six months to the end of September. NAV rose to 111.5p at the end of September from 109.7p at the end of March. The value of HICL’s portfolio over the period rose 6.9 per cent to £719.3m from £673.1m at the end of March.