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RIGHTS & ISSUES INVESTMENT TRUST PLC Net Asset Value 2014

Sep 2, 2014

4643_rns_2014-09-02_03b93df2-38f7-4c43-ae23-978a9d8aadfd.html

Net Asset Value

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National Storage Mechanism | Additional information

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RNS Number : 6541Q

Rights and Issues Inv Trust PLC

02 September 2014

At the 31st August 2014 the unaudited net asset value of the shares in Rights and Issues Investment Trust Plc were:

25p Capital Shares             5636.0p          (5529.9p at the 31st December 2013)

25p Income Shares              1366.1p          (1334.0p at the 31st December 2013)

The above asset value of the capital shares does not include the supplementary capital dividend of 57.5935p payable on 2nd January 2015.

In accordance with UKLA Listing Rule 21.20 (l) (ii), the following list represents the Trust's ten largest investments and where appropriate, any investment with a value greater than 5% of the Trust's gross assets:

Class Value Holding > 5% of Gross Assets
Scapa Group Ordinary 15,324,750 Yes
Brammer Ordinary 11,569,500 Yes
VP Ordinary 11,547,000 Yes
RPC Group Ordinary 9,213,750 Yes
Treatt Ordinary 9,124,500 Yes
Hill & Smith Holdings Ordinary 7,873,923 Yes
Colefax Group Ordinary 6,662,500 Yes
Macfarlane Group Ordinary 6,263,674 No
Renold Ordinary 5,088,000 No
British Polythene Ind Ordinary 4,677,669 No

The above information is as at 31st August 2014.

N.D.Ghandhi

(for the Company Secretary, Discretionary Unit Fund Managers Ltd)

2nd September 2014

This information is provided by RNS

The company news service from the London Stock Exchange

END

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