AI assistant
BRUNNER INV TST PLC — Net Asset Value 2019
Dec 27, 2019
5135_rns_2019-12-27_972a54bf-c5e0-400a-80c2-4b96046976f3.html
Net Asset Value
Open in viewerOpens in your device viewer
National Storage Mechanism | Additional information
You don't have Javascript enabled. For full functionality this page requires javascript to be enabled.
RNS Number : 1539Y
Brunner Investment Trust PLC
27 December 2019
The Brunner Investment Trust PLC
LEI: 529900S0Y9ZINCHB3O93
As recommended by the AIC, net asset values are calculated on both a capital and a cum-income basis.
The Brunner Investment Trust PLC announces that at close of business 24 December 2019:
1) based on the par value of the company's long term debt and preference shares, the capital net asset value per ordinary share was 972.88p.
2) based on the market value of the company's long term debt and preference shares, the capital net asset value per ordinary share was 965.20p.
3) based on the par value of the company's long term debt and preference shares, the cum-income net asset value per ordinary share was 980.94p.
4) based on the market value of the company's long term debt and preference shares, the cum-income net asset value per ordinary share was 973.26p.
In the valuation of the company's long term debt at market value, the margin added to the yield of the relevant reference gilt is derived from the spread of BBB UK corporate bond yields over gilt yields.
Enquiries:
Kirsten Salt
Tel: 020 3246 7513
27 December 2019
This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact [email protected] or visit www.rns.com.
END
NAVBDBDDSGDBGCR