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PENGANA INTERNATIONAL EQUITIES LIMITED — Net Asset Value 2021
Mar 16, 2021
65561_rns_2021-03-16_c1038228-777f-4d0a-b889-3bf663b23e5c.pdf
Net Asset Value
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NET TANGIBLE ASSET (NTA) BACKING
12 MARCH 2021
Cents per share
| Net tangible asset value | |
|---|---|
| before provision for tax on unrealised income and gains | 140.51 |
| Provision for tax on unrealised income and gains | (4.80) |
| Net tangible asset value | 135.71 |
| after provision for tax on unrealised income and gains |
The net asset value of the Company is unaudited and calculated using last sale price (less realisation costs) to value the investments.
ASX: PIA
PENGANA INTERNATIONAL EQUITIES LIMITED
PENGANA.COM/PIA
ACN 107 462 966 MANAGED BY PENGANA INVESTMENT MANAGEMENT LIMITED PART OF THE PENGANA CAPITAL GROUP AFSL 219462
CLIENT SERVICE T: +61 2 8524 9900 E: [email protected]
AUTHORISED BY | PAULA FERRAO, COMPANY SECRETARY WEEKLY NTA | PENGANA INTERNATIONAL EQUITIES LIMITED
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