Fund Information / Factsheet • Dec 29, 2017
Fund Information / Factsheet
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National Storage Mechanism | Additional information
RNS Number : 4876A
P2P Global Investments PLC
29 December 2017
LEI Number: 213800P4S1KTTPIB9T76
MONTHLY UPDATE
Monthly Update
P2P Global Investments PLC announces that its factsheet for November 2017 is now available on its website at:
http://p2pgi.com/investorrelations/view/P2PGlobalInvestmentsNovemberFactsheet2017
Key points:
· 0.40% NAV growth in the month
· 16.93% inception to date total NAV return
· 12p per share dividend paid during November
· Stable dividend announced for the transitional period
Link Company Matters - Corporate Secretary
29 December 2017
The content of the Company's web-pages and the content of any website or pages which may be accessed through hyperlinks on the Company's web-pages, other than the content of the Newsletter referred to above, is neither incorporated into nor forms part of the above announcement.
END OF ANNOUNCEMENT
This information is provided by RNS
The company news service from the London Stock Exchange
END
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