Net Asset Value • Jul 7, 2017
Net Asset Value
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National Storage Mechanism | Additional information
PR Newswire
London, July 7
NET ASSET VALUE AND ANNUAL REPORT
British & American Investment Trust PLC announces that, as at 30th June 2017, the value of the group’s investments and cash at banks was £22.5 million (net of £1.6 million final ordinary and preference dividends paid on 27th June) and the unaudited consolidated net asset value of the company was not less than 50.0 pence per £1 ordinary share (prior charges deducted at par) and 64.3 pence per ordinary share on a fully diluted basis.
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