Net Asset Value • Feb 28, 2020
Net Asset Value
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National Storage Mechanism | Additional information
PR Newswire
London, February 28
| The company announces the following unaudited data | ||
| as at 27 February 2020 - Using BID Valuations | ||
| NAV per ord share (excl income) with debt at par value | 1233.25 | p |
| NAV per ord share (excl income) with debt at market value* | 1218.04 | p |
| NAV per ord share (incl income) with debt at par value | 1262.49 | p |
| NAV per ord share (incl income) with debt at market value* | 1247.28 | p |
| *based on the mid market value of the debenture debt at valuation point, | ||
| source: Interactive Data | ||
| For more information please visit our website at | ||
| www.templebarinvestments.co.uk/ |

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