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RIT Capital Partners PLC

Net Asset Value Apr 19, 2022

4696_rns_2022-04-19_81e8c176-0717-4c83-b99b-7da9d96e8d1c.html

Net Asset Value

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National Storage Mechanism | Additional information

RNS Number : 4698I

RIT Capital Partners PLC

19 April 2022

RIT CAPITAL PARTNERS PLC (LEI: P31Q1NLTW35JJGHA4667)

19 April 2022

Net Asset Value

The unaudited diluted net asset value of RIT Capital Partners plc as at 31 March 2022 (with debt at fair value) was 2,673p per £1 ordinary share (28 February 2022: 2,701p). This is before the deduction of an interim dividend of 18.5p per £1 ordinary share which will be paid on 29 April 2022 to shareholders who were on the register on 1 April 2022.  Shareholders should note that the share price went ex-dividend on 31 March 2022.

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