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Merchants Trust PLC Net Asset Value 2017

Nov 6, 2017

4621_rns_2017-11-06_7ac1e908-d143-4fe8-baf1-15fb37c4b6c1.html

Net Asset Value

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National Storage Mechanism | Additional information

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RNS Number : 6716V

Hansa Trust PLC

06 November 2017

HANSA TRUST PLC

The estimated unaudited Net Asset Value, calculated in accordance with the guidelines of the Association of Investment Companies ("AIC"), for the Ordinary and 'A' Ordinary shares of Hansa Trust plc at the close of business on 3 November 2017 was as follows:-

Cum Income NAV per Ordinary and 'A' Ordinary share* 1,409.35p
Ex Income NAV per Ordinary and 'A' Ordinary share 1,402.01p

*The AIC currently advises its members to list their NAVs both inclusive and exclusive of net income generated in the current period. Therefore, net income for the current financial reporting period is made up of income received and accrued - expenses paid and accrued - tax (if applicable) - Hansa Trust dividend paid (or due) to shareholders. These items are not included in the "Ex income NAV per Ordinary and 'A' Ordinary share" NAV.

Hansa Trust LEI: 213800AIF87JWGLA1L74

For and on behalf of the Board

Hansa Capital Partners LLP  -  Secretary 

This information is provided by RNS

The company news service from the London Stock Exchange

END

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