AI assistant
GRYPHON CAPITAL INCOME TRUST — Net Asset Value 2021
Jul 5, 2021
64969_rns_2021-07-05_c29942c8-2f4d-4754-a731-5d567eb2f41a.pdf
Net Asset Value
Open in viewerOpens in your device viewer
==> picture [288 x 73] intentionally omitted <==
ARSN 623 308 850
ASX ANNOUNCEMENT
6 July 2021
Daily Net Tangible Asset Backing
Please find below information on the Net Tangible Asset (NTA) per unit of Gryphon Capital Income Trust (ASX: GCI) as at the close of business on 5 July 2021:
NTA per unit as at 5 July 2021 $2.0275
All figures are unaudited and approximate.
Authorised for release by One Managed Investment Funds Limited, the responsible entity of Gryphon Capital Income Trust.
Responsible Entity
One Managed Investment Funds Limited ABN 47 117 400 987 AFSL 297042 Level 16, Governor Macquarie Tower, 1 Farrer Place, Sydney NSW 2000 P: +61 2 8277 0000 • F: +61 2 8580 5700 • www.oneinvestment.com.au
Postal Address • PO Box R1471, Royal Exchange NSW 1225