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Mineral & Financial Invest. Limited

Major Shareholding Notification Apr 17, 2019

10246_rns_2019-04-17_13f1bd47-78b7-475f-887c-1093089ddfe2.html

Major Shareholding Notification

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National Storage Mechanism | Additional information

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RNS Number : 5171W

Mineral & Financial Invest. Limited

17 April 2019

MINERAL AND FINANCIAL INVESTMENTS LIMITED

Correction: Quarterly Net Asset Value

NET ASSET VALUE

It has come to the Company's attention that the calculations for the quarterly Net Asset Value per share quoted in previous announcements, and more particularly the announcements dated 27 March 2019, 1 November 2018 and 31 July 2018, were not expressed clearly.

Accordingly, the Company sets out its calculations for both the basic and fully diluted Net Asset Value per share, below.

These calculations will also be incorporated in the Company's quarterly Net Asset Value update going forward.

2016
Mar. 31 2016 Jun. 30 2016 Sep. 30 2016 Dec. 31 2016*
NET ASSET VALUE (NAV) £912,938 £1,048,857 £1,558,156 £1,494,360
Cost of Exercising Options £39,450 £39,450 £39,450 £39,450
Total NAV £952,388 £1,088,307 £1,597,606 £1,533,810
Number of shares in issue 14,034,562 14,034,562 24,034,562 24,034,562
Unexercised options 500,000 500,000 500,000 500,000
14,534,562 14,534,562 24,534,562 24,534,562
Basic: NET ASSET VALUE PER SHARE (NAVPS) 6.50p 7.47p 6.48p 6.22p
Fully diluted NAVPS 6.55p 7.49p 6.51p 6.25p
2017
Mar. 31 2017 Jun. 30 2017 Sep. 30 2017 Dec. 31 2017
NET ASSET VALUE (NAV) £2,509,774 £2,443,373 £2,387,321 £2,602,816
Cost of Exercising Options £84,450 £84,450 £84,450 £61,604
Total NAV £2,594,224 £2,527,823 £2,471,771 £2,664,420
Number of shares in issue 34,742,895 34,742,895 34,742,895 35,037,895
Unexercised options 1,100,000 1,100,000 1,100,000 805,000
35,842,895 35,842,895 35,842,895 35,842,895
Basic: NET ASSET VALUE PER SHARE (NAVPS) 7.22p 7.03p 6.87p 7.43p
Fully diluted NAVPS 7.24p 7.05p 6.90p 7.43p
2018
Mar. 31 2018 Jun. 30 2018* Sep. 30 2018 Dec. 31 2018
NET ASSET VALUE (NAV) £2,536,875 £2,623,134 £2,358,580 £4,392,940
Cost of Exercising Options £61,604 £61,604 £61,604 £61,604
Total NAV £2,598,479 £2,684,738 £2,420,184 £4,454,544
Number of shares in issue 35,037,895 35,037,895 35,037,895 35,037,895
Unexercised options 805,000 805,000 805,000 805,000
35,842,895 35,842,895 35,842,895 35,842,895
Basic: NET ASSET VALUE PER SHARE (NAVPS) 7.24p 7.49p 6.73p 12.54p
Fully diluted NAVPS 7.25p 7.49p 6.75p 12.43p

*indicates audited numbers.

FOR MORE INFORMATION: 

Jacques Vaillancourt, Mineral & Financial Investments Ltd. +44 780 226 8247
Katy Mitchell and Jessica Cave, WH Ireland Limited +44 161 832 2174
Jon Belliss, Novum Securities Limited +44 207 382 8300

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact [email protected] or visit www.rns.com.

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