Net Asset Value • Feb 5, 2025
Net Asset Value
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National Storage Mechanism | Additional information
PR Newswire
LONDON, United Kingdom, February 05
TEMPLE BAR INVESTMENT TRUST Plc
NET ASSET VALUE
It is announced that at the close of business on 4 February 2025 the unaudited net asset values (NAVs) per ordinary share of Temple Bar Investment Trust Plc managed by RWC Asset Management LLP are as follows.
| Pence per share Cum Income |
Pence per share Ex Income |
|
| NAV with debt at par value | 296.00 | 292.37 |
| NAV with debt at fair value | 300.77 | 297.14 |
For and on behalf of the Board
Frostrow Capital LLP
Secretary
5 February 2025
Legal Entity Identifier 213800O8EAP4SG5JD323

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