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Aberforth Split Level Income Trust plc — Net Asset Value 2021
Mar 4, 2021
5125_rns_2021-03-04_820dfcd7-4e6f-4b2d-a0fb-fbc7ca9b8d35.html
Net Asset Value
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National Storage Mechanism | Additional information
Aberforth Split Level Income Trust Plc - Net Asset Value(s)
PR Newswire
London, March 4
Aberforth Split Level Income Trust plc (“ASLIT”)
The Net Asset Values (“NAVs”) for the above company as at the close of business on 3 March 2021 were:-
Ordinary Share (excluding current year revenue) = 78.44p
Ordinary Share (including current year revenue) = 78.95p
Zero Dividend Preference Share (Accounts basis*) = 113.14p
Zero Dividend Preference Share (Articles basis) = 113.48p
* for accounting purposes in accordance with the AIC SORP, issue costs in relation to the Zero Dividend Preference Shares are capitalised and amortised over their expected term.
Contact:
Michael Campbell
For and on behalf of Aberforth Partners LLP, Secretaries
Telephone: 0131 220 0733
4 March 2021
