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Alliance Trust PLC — Net Asset Value 2021
Sep 13, 2021
4604_rns_2021-09-13_b9dbe604-488f-476c-acc9-70dd661868c8.html
Net Asset Value
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National Storage Mechanism | Additional information
ALLIANCE TRUST PLC
At the close of business Friday 10 September 2021:
The Company’s NAV per ordinary share, valued on a bid price basis with Debt at Par, was
- excluding income, 1090.8p
- including income, 1093.2p
The Company’s NAV per ordinary share, valued on a bid price basis with Debt at Fair Value, was
- excluding income, 1077.1p
- including income, 1079.5p
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 3.702p, due to be paid on 30 September 2021, has been deducted from each of the ‘including income’ figures cited above as from 2 September 2021, being the date upon which the Company’s shares went ex-dividend.

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