Net Asset Value • Mar 2, 2018
Net Asset Value
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National Storage Mechanism | Additional information
RNS Number : 5687G
Majedie Investments PLC
02 March 2018
Majedie Investments PLC
Legal Entity Identifier: 2138007QEY9DYONC2723
2 March 2018
Net Asset Value (NAV)
The unaudited consolidated net asset value per share at the close of business on 1 March 2018 was as follows:
With debentures at par value: 323.33 per share
With debentures at fair value: 314.54 per share
The net asset value published is on a cum-income basis and the net asset value is calculated on 53,439,000 ordinary shares, being the number of shares in issue.
The fair value of March 2025 debenture is calculated by using the yield of UK Treasury Bonds of an equal duration plus a 2.5% risk premium. The Board sees this mechanism as transparent, market related and consistent with best practice.
Enquiries
William Barlow
Majedie Investments PLC
Ph: 020 7382 8185
This information is provided by RNS
The company news service from the London Stock Exchange
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