Net Asset Value • Mar 5, 2018
Net Asset Value
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National Storage Mechanism | Additional information
RNS Number : 6061G
P2P Global Investments PLC
05 March 2018
MONTHLY UPDATE
Monthly Update
P2P Global Investments PLC announces that its Factsheet for January 2018 is now available on its website at:
http://p2pgi.com/investorrelations/view/P2PGlobalInvestmentsJanuaryFactsheet2018
Key Points:
· 0.36% NAV growth in the month
· 15.07% inception to date total NAV return
· Share buybacks have added 0.09% NAV growth during the month
· 12p per share dividend declared for the quarter
· Implementation of the new IFRS 9 accounting standards has impacted the Company's NAV by 2.49%
Link Company Matters Limited - Corporate Secretary
Enquiries:
The Investment Manager +44 (0)20 3948 7379
Media enquiries:
Boscobel & Partners + 44 (0)203 642 1310
05 March 2018
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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