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Alliance Trust PLC — Net Asset Value 2021
Mar 17, 2021
4604_rns_2021-03-17_99fe6c52-d9da-41d9-bdbb-86171045faf6.html
Net Asset Value
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National Storage Mechanism | Additional information
ALLIANCE TRUST PLC
At the close of business Tuesday 16 March 2021:
The Company’s NAV per ordinary share, valued on a bid price basis with Debt at Par, was
- excluding income, 998.2p
- including income, 1000.0p
The Company’s NAV per ordinary share, valued on a bid price basis with Debt at Fair Value, was
- excluding income, 986.5p
- including income, 988.3p
For further information, please contact: -
| Alliance Trust PLC |
| Tel. +44 (0)1382 938320 |
Notes
- Net Asset Values are calculated in accordance with published accounting policies and AIC guidelines.
- The fair value of the Company’s fixed loan notes is calculated by reference to a benchmark gilt.
- The dividend of 3.595p, due to be paid on 31 March 2021, has been deducted from each of the ‘including income’ figures cited above as from 11 March 2021, being the date upon which the Company’s shares went ex-dividend.
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