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Murray International Trust PLC Net Asset Value 2014

Jun 9, 2014

4594_rns_2014-06-09_130554a1-df3f-4efa-9d1c-5bf52ac22d4c.html

Net Asset Value

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National Storage Mechanism | Additional information

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RNS Number : 1658J

Murray International Trust PLC

09 June 2014

Aberdeen Asset Management PLC announces the unaudited net asset values (NAVs) of the following investment companies as at close of business on 6 June 2014.  Unless otherwise disclosed, the NAVs have been calculated in accordance with the recommendations of the Association of Investment Companies.  In particular: (1) financial assets have been valued on a fair value basis using bid prices, or, if more appropriate, a last trade basis; (2) debt is valued at par and, where applicable, debt is also separately valued at market value (3) diluted NAVs are disclosed where applicable (for this purpose, treasury shares are excluded for the purposes of calculation); and (4) provisions for performance fees are included where applicable.

Murray International Trust Undiluted Excluding Income 1016.13p Ordinary
Murray International Trust Undiluted Including Income 1027.67p Ordinary
Murray International Trust with Debt at Fair Value Excluding Income 1012.78p Ordinary
Murray International Trust with Debt at Fair Value Including Income 1024.32p Ordinary

This information is provided by RNS

The company news service from the London Stock Exchange

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