The latest Investing Matters Podcast episode featuring financial educator and author Jared Dillian has been released. Listen here.

Less Ads, More Data, More Tools Register for FREE

Pin to quick picksAIF.L Regulatory News (AIF)

  • There is currently no data for AIF

Watchlists are a member only feature

Login to your account

Alerts are a premium feature

Login to your account

NAV(s) & Correction to Prev. Ex-Income Net Asset Values

23 Jun 2017 12:17

Acorn Income Fund - NAV(s) & Correction to Prev. Ex-Income Net Asset Values

Acorn Income Fund - NAV(s) & Correction to Prev. Ex-Income Net Asset Values

PR Newswire

London, June 23

ACORN INCOME FUND LIMITED (the “Company”)

(a closed-ended investment company incorporated in Guernsey with registration number 34778)

Net Asset Value and correction of previously announced ex income Net Asset Values

As at the close of business on 21st June 2017 the estimated Net Asset Values of the Company’s shares are as follows:

NAVShares in IssueNAV Date
Cum-income NAV*471.07p15,916,68721st June 2017
Ex-income NAV**470.69p15,916,68721st June 2017
ZDP shares140.03p21,365,22121st June 2017

*Cum-income net asset value includes all current year income, less the value of any dividends paid in respect of the period together with the value of any dividends which have been declared and marked ex dividend but not yet paid.

**Ex-income net asset value is the Cum-income NAV excluding net current year income (net current year income being all current year income, less the value of any dividends paid in respect of the period together with the value of any dividends which have been declared and marked ex-dividend but not yet paid). Any undistributed income from the prior year is moved to reserves on the first business day of the new period, meaning that all ex-income NAVs released during a financial year equate to the cum-income NAV less year to date undistributed income.

Total assets less current liabilities as at the above date were GBP 104.896 million. This amount excludes the liability for the ZDP Shares which mature on 28 February 2022. The portfolio has been valued using bid prices.

Net assets attributable to holders of Ordinary Shares as at the above date were GBP 74.979 million.

The above Net Asset Values for Ordinary Shares include an accrual for a Performance Fee payable to the Manager in accordance with the Management Agreement.

TOTAL NUMBER OF VOTING RIGHTS

The ZDP Shares shall not have the right to attend or vote at any general meeting of the Company unless the business of the meeting includes any resolution to vary, modify or abrogate any of the special rights attached to the ZDP Shares. Accordingly, the total number of voting rights in the Company is 15,916,687

Correction

Acorn Income Fund has been accruing a performance fee in its NAV calculations since 7 April 2017.

Due to an error in the calculation process the performance fee was accrued against income when it should have been against capital. The result of this has been that while the cum income NAV calculation was correct the ex-income NAV was overstated.

The NAV published today has calculated the NAVs correctly with the performance fee accrued against capital. The table below shows the cum income NAVs , the ex-income NAVs as released to the Stock Exchange and the correct ex-income NAV re-calculated with the performance fee accrued against capital for every NAV since the error occurred on April 7 2017

DateCum-Income Nav. (unchanged). Pence per share Ex Income NAV as released. Pence per shareEx Income Updated. Pence per share
07-Apr-2017447.78449.56449.16
12-Apr-2017454.74457.66456.14
13-Apr-2017456.51459.05457.25
19-Apr-2017458.74461.55459.49
21-Apr-2017459.66462.06459.88
26-Apr-2017468.71472.61468.96
28-Apr-2017470.66474.34470.39
03-May-2017471.37475.09471.12
05-May-2017472.08475.57471.53
10-May-2017476.49480.64475.93
12-May-2017478.14481.21476.25
17-May-2017480.36483.71478.48
19-May-2017479.24481.76476.78
24-May-2017482.45485.44480.01
26-May-2017486.75489.39483.25
31-May-2017491.33494.69487.85
02-Jun-2017489.63492.14485.65
07-Jun-2017481.60482.69477.73
09-Jun-2017480.25480.82476.14
14-Jun-2017482.34483.18478.25
16-Jun-2017473.83477.62473.44

Enquiries:

Northern Trust International Fund Administration Services (Guernsey) Ltd.

Jenny Malone 353 (0)1 542 2198

Date: 23rd June 2017

Date   Source Headline
11th Aug 20201:45 pmPRNResult of Class Meeting
11th Aug 20201:45 pmPRNResults of AGM
10th Aug 20204:00 pmPRNNet Asset Value(s)
6th Aug 20204:04 pmPRNNet Asset Value(s)
3rd Aug 20203:38 pmPRNNet Asset Value(s)
3rd Aug 20207:00 amPRNAppointment of Corporate Broker
30th Jul 20203:14 pmPRNNet Asset Value(s)
27th Jul 20203:15 pmPRNNet Asset Value(s)
23rd Jul 20203:42 pmPRNNet Asset Value(s)
20th Jul 20203:38 pmPRNNet Asset Value(s)
16th Jul 20203:37 pmPRNNet Asset Value(s)
13th Jul 20202:30 pmPRNNet Asset Value(s)
9th Jul 20204:19 pmPRNNet Asset Value(s)
6th Jul 20203:06 pmPRNNet Asset Value(s)
2nd Jul 20203:29 pmPRNNet Asset Value(s)
1st Jul 20204:07 pmPRNNet Asset Value(s)
29th Jun 20203:07 pmPRNNet Asset Value(s)
25th Jun 20203:48 pmPRNNet Asset Value(s)
22nd Jun 20203:13 pmPRNNet Asset Value(s)
18th Jun 20203:54 pmPRNNet Asset Value(s)
15th Jun 20204:29 pmPRNNet Asset Value(s)
11th Jun 20203:06 pmPRNNet Asset Value(s)
8th Jun 20203:27 pmPRNNet Asset Value(s)
4th Jun 20204:01 pmPRNNet Asset Value(s)
1st Jun 20203:33 pmPRNNet Asset Value(s)
28th May 20204:27 pmPRNNet Asset Value(s)
26th May 20202:22 pmPRNNet Asset Value(s)
21st May 20202:48 pmPRNNet Asset Value(s)
18th May 20203:41 pmPRNNet Asset Value(s)
18th May 20202:00 pmPRNCorrection : Notice of AGM
18th May 20201:58 pmPRNNotice of Class Meeting Correction
14th May 20204:27 pmPRNNet Asset Value(s)
12th May 202012:35 pmPRNNotice of Class Meeting
12th May 202012:26 pmPRNNotice of AGM
11th May 20204:05 pmPRNNet Asset Value(s)
7th May 20203:11 pmPRNNet Asset Value(s)
4th May 20202:34 pmPRNNet Asset Value(s)
1st May 20202:28 pmPRNNet Asset Value(s)
30th Apr 20204:01 pmPRNNet Asset Value(s)
29th Apr 20207:00 amPRNAnnual Financial Report
28th Apr 20201:14 pmPRNDividend Announcement
27th Apr 20202:34 pmPRNNet Asset Value(s)
23rd Apr 20204:07 pmPRNNet Asset Value(s)
20th Apr 20203:33 pmPRNNet Asset Value(s)
16th Apr 20202:46 pmPRNNet Asset Value(s)
14th Apr 20204:04 pmPRNNet Asset Value(s)
9th Apr 20204:21 pmPRNNet Asset Value(s)
6th Apr 20204:17 pmPRNNet Asset Value(s)
2nd Apr 20203:36 pmPRNNet Asset Value(s)
1st Apr 20202:53 pmPRNNet Asset Value(s)

Due to London Stock Exchange licensing terms, we stipulate that you must be a private investor. We apologise for the inconvenience.

To access our Live RNS you must confirm you are a private investor by using the button below.

Login to your account

Don't have an account? Click here to register.

Quickpicks are a member only feature

Login to your account

Don't have an account? Click here to register.