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MITON UK MICROCAP TRUST PLC Net Asset Value 2016

Jul 15, 2016

4930_rns_2016-07-15_3a13ec7e-0c60-4fde-9245-705e560cf5f9.html

Net Asset Value

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National Storage Mechanism | Additional information

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RNS Number : 3483E

Miton UK MicroCap Trust plc

15 July 2016

The Miton UK Microcap Trust plc

It is announced that at the close of business on 14 July 2016, the unaudited Net Asset Value per share of The Miton UK Microcap Trust plc, managed by Miton Asset Management Limited, is:

With the portfolio valued on a fair value basis:

Shares Sedol NAV per share
Ordinary Shares BWFGQ08
‑ Cum NAV 50.96p
‑ Excluding current period revenue items 50.50p
C shares BWFGQ20
‑ Cum NAV 49.08p
‑ Excluding current period revenue items 48.99p

For information purposes, in respect of the C share asset pool, the percentage of the net proceeds now invested is 93.15%

15 July 2016

This information is provided by RNS

The company news service from the London Stock Exchange

END

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