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Pin to quick picksEdinburgh Investment Trust PLC Regulatory News (EDIN)

Share Price Information for Edinburgh Investment Trust PLC (EDIN)

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Share Price: 722.00
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Edinburgh Investment is an Investment Trust

To achieve an increase of the NAV per share in excess of the growth in the FTSE All-Share Index and dividend growth that exceeds UK inflation rate by investing primarily in UK securities.

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DEBENTURE REDEMPTION AND REFINANCING UPDATE

28 Sep 2022 07:00

RNS Number : 9075A
Edinburgh Investment Trust PLC
28 September 2022
 

DEBENTURE REDEMPTION AND refinancing update

EDINBURGH INVESTMENT TRUST PLC

 

LEI: 549300HV0VXCRONER808

7.75% Debenture Stock 2022 (the "Debenture Stock") ISIN code: GB0000401033

The Directors of Edinburgh Investment Trust (the "Company") announced on 30 September 2021 that its £100m 7.75% debenture would be repaid on 30 September 2022 (the "Redemption Date") in accordance with the Trust Deed to the Debenture dated 30 May 1997 between the Company and Royal Exchange Trust Company (the "Trustee").

The Debenture Stock will be fully redeemed at par together with any interest accrued to (and including) the Redemption Date. Accordingly, the Debenture Stock ISIN will be disabled for settlement in CREST at 5pm on 29 September 2022 and all redeemed Debenture Stock will be cancelled along with its listing on the Official List of the UK Listing Authority.

As the Company has previously announced, £100m of refinancing has been arranged to replace the maturing debenture. This will go onto the Company's balance sheet this Thursday, 29 September 2022. Investors should note that the weighted average interest rate (which was negotiated in September 2021) on this new debt of 2.42% is significantly lower than the cost were the same borrowings to be arranged today. This in turn has an impact on the fair value of this debt when it goes on to the Company's balance sheet. The lower fair value of the debt is, all other things being equal, likely to result in an uplift in the daily fair value Net Asset Value for 29 September 2022 and thereafter. As an example, had the debt been drawn and included in the NAV as at close of business on 26 September 2022, the NAV (debt at fair; cum-income) would have been circa 26p (or 4.3%) higher.

The Company will continue with its practice of presenting NAV returns on a cum-income, debt at fair value basis.

If you have any questions regarding the redemption of or the cancellation of the listing of the Debenture Stock, please contact the Company's Registrar at:

Link Group, 10th Floor, Central Square, 29 Wellington Street, Leeds, LS1 4DL, United Kingdom.

Alternatively, from within the UK you may call the Link Group helpline on 0371 664 0300. Calls are charged at the standard geographic rate and will vary by provider. The helpline is open from 9.00am to 5.30pm, Monday to Friday (excluding UK public holidays). From outside the United Kingdom please call: +44 371 664 0300. Calls will be charged at the applicable international rate.

 

For and on behalf ofSanne Fund Services (UK) LimitedCorporate Company Secretary

 

Enquiries

 

Edinburgh Investment Trust plc

Elisabeth Stheeman (Chairman) via Montfort below

 

Liontrust Fund Partners LLP

James Mowat +44 20 3908 8822

 

Investec Bank plc

Tom Skinner +44 20 7579 4000

 

Sanne Fund Services (UK) Limited (Company Secretary)

Brian Smith +44 20 3327 9720

 

Montfort Communications

Gay Collins +44 7798 626282

Shireen Farhana +44 7757 299250

eit@montfort.london

 

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