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357.00    -1.50 (-0.42%)
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Market Cap: £2.12b
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Amendment to Net Asset Value(s)

14 May 2025 10:30

RNS Number : 6350I
Murray International Trust PLC
14 May 2025
 

Murray International Trust PLC (the "Company")

Legal Entity Identifier (LEI): 549300BP77JO5Y8LM553

 

14 May 2025

 

AMENDMENT TO PUBLISHED CAPITAL-ONLY NET ASSET VALUES

 

As a result of an administrative oversight on 3 April 2025, the ex-dividend date for the Company's final dividend for the year ended 31 December 2024, the dividend cost was charged to the current year revenue account, rather than being deducted from accumulated revenue reserves resulting in an overstated capital position. Consequently, the excluding income NAV announcements released for the period from 3 April 2025 to 6 May 2025 were incorrect. The cum income NAVs were correctly stated throughout this period. The revised NAVs for each day are as follows:

 

Capital only NAV

 

Effective Date

Original NAV

(pence)

Capital/Fair Value

Corrected NAV

(pence)

Impact

03-Apr-25

273.94

Capital

271.22

-0.99%

03-Apr-25

277.92

Fair Value Capital

275.19

-0.98%

04-Apr-25

266.33

Capital

263.54

-1.05%

04-Apr-25

270.3

Fair Value Capital

267.51

-1.03%

07-Apr-25

259.9

Capital

257.09

-1.08%

07-Apr-25

263.87

Fair Value Capital

261.07

-1.06%

08-Apr-25

258.09

Capital

255.29

-1.08%

08-Apr-25

262.06

Fair Value Capital

259.26

-1.07%

09-Apr-25

258.3

Capital

255.5

-1.08%

09-Apr-25

262.27

Fair Value Capital

259.47

-1.07%

10-Apr-25

259.85

Capital

256.96

-1.11%

10-Apr-25

263.82

Fair Value Capital

260.93

-1.10%

11-Apr-25

262.26

Capital

258.99

-1.25%

11-Apr-25

266.24

Fair Value Capital

262.96

-1.23%

14-Apr-25

264.53

Capital

261.2

-1.26%

14-Apr-25

268.5

Fair Value Capital

265.17

-1.24%

15-Apr-25

264.8

Capital

261.41

-1.28%

15-Apr-25

268.77

Fair Value Capital

265.38

-1.26%

16-Apr-25

264.64

Capital

260.99

-1.38%

16-Apr-25

268.62

Fair Value Capital

264.97

-1.36%

17-Apr-25

266.66

Capital

263.01

-1.37%

17-Apr-25

270.64

Fair Value Capital

266.98

-1.35%

22-Apr-25

266.48

Capital

262.83

-1.37%

22-Apr-25

270.45

Fair Value Capital

266.8

-1.35%

23-Apr-25

270.48

Capital

266.82

-1.35%

23-Apr-25

274.45

Fair Value Capital

270.79

-1.33%

24-Apr-25

271.92

Capital

268.26

-1.35%

24-Apr-25

275.89

Fair Value Capital

272.24

-1.32%

25-Apr-25

272.88

Capital

268.8

-1.50%

25-Apr-25

276.85

Fair Value Capital

272.77

-1.47%

28-Apr-25

272.38

Capital

268.3

-1.50%

28-Apr-25

276.35

Fair Value Capital

272.28

-1.47%

29-Apr-25

273.45

Capital

269.38

-1.49%

29-Apr-25

277.43

Fair Value Capital

273.35

-1.47%

30-Apr-25

275.82

Capital

271.75

-1.48%

30-Apr-25

279.48

Fair Value Capital

275.41

-1.46%

01-May-25

275.97

Capital

271.89

-1.48%

01-May-25

279.63

Fair Value Capital

275.55

-1.46%

02-May-25

280.1

Capital

276.02

-1.46%

02-May-25

283.76

Fair Value Capital

279.68

-1.44%

06-May-25

279.12

Capital

274.91

-1.51%

06-May-25

282.78

Fair Value Capital

278.56

-1.49%

 

 

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11th May 202612:33 pmRNSGearing disclosure
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8th May 202611:55 amRNSNet Asset Value(s)
7th May 20262:00 pmRNSMonth End Net Asset Value(s)
7th May 202610:46 amRNSNet Asset Value(s)
6th May 202611:57 amRNSNet Asset Value(s)
5th May 20262:05 pmRNSGearing disclosure
5th May 202610:44 amRNSNet Asset Value(s)
1st May 202610:00 amRNSTotal Voting Rights
30th Apr 202611:32 amRNSNet Asset Value(s)
29th Apr 202611:09 amRNSNet Asset Value(s)
28th Apr 202611:25 amRNSNet Asset Value(s)
27th Apr 20264:36 pmRNSIssue of Equity
27th Apr 20263:09 pmRNSGearing disclosure
27th Apr 202611:52 amRNSNet Asset Value(s)
24th Apr 202611:25 amRNSNet Asset Value(s)
23rd Apr 20264:28 pmRNSResult of AGM

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