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Aberforth Split Level Income Trust plc — Net Asset Value 2021
Dec 24, 2021
5125_rns_2021-12-24_07f279a1-186a-4e76-80ee-0ad74bd0d018.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, December 24
Aberforth Split Level Income Trust plc (“ASLIT”)
The Net Asset Values (“NAVs”) for the above company as at the close of business on 23 December 2021 were:-
Ordinary Share (excluding current year revenue) = 89.67p
Ordinary Share (including current year revenue) = 91.78p
Zero Dividend Preference Share (Accounts basis*) = 116.42p
Zero Dividend Preference Share (Articles basis) = 116.67p
* 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
24 December 2021
