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Secured Income Fund PLC

Net Asset Value Apr 27, 2023

4937_rns_2023-04-27_f17c376a-ce70-4c0c-9180-ca980a8db98c.html

Net Asset Value

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National Storage Mechanism | Additional information

RNS Number : 5913X

Secured Income Fund PLC

27 April 2023

27 April 2023                                              

Secured Income Fund plc

Monthly Net Asset Value

Secured Income Fund plc (LSE: SSIF) (the "Company"), a specialist secured lending income investment trust, listed in the UK, is pleased to provide its monthly net asset value ("NAV").

Net Asset Value

The Company announces that, as at 31 March 2023, the unaudited estimated NAV per ordinary share (cum-income) was 18.31 pence.

The estimated NAV per ordinary share includes the deduction of dividends distributed since the commencement of the wind down on 17 September 2020 of 9.25 pence per ordinary share and B Share buy backs equivalent to 37.00 pence per ordinary share. 

(http://www.securedincomefundplc.co.uk/)

For further information please contact:

Directors

David Stevenson (Chair)

Susan Gaynor Coley

Brett Miller
tel: +44 7973 873785

tel: +44 7977 130673

tel: +44 7770 447338
finnCap Ltd.

Corporate Finance: William Marle

Sales: Mark Whitfeld
tel: +44 20 7220 0500

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