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Net Asset Value(s)

26 Jan 2016 17:40

RNS Number : 0707N
Global Resources Investment Tst PLC
26 January 2016
 

To: RNS

From: Global Resources Investment Trust plc

Date: 26 January 2016

 

 

 

Net Asset Value

 

Following the conclusion of the review of the carrying values of its unquoted investments, referred to in its announcement of 6 January 2016, the unaudited net asset value (NAV) of the Company is noted below in pence per share. NAVs are calculated in accordance with stated policies. Applicable accounting standards and AIC recommendations are followed.

 

 

The NAV per ordinary share as at the close of business on:

 

 

31 December 2015

25 January 2016

 

Pence per Share

Cum Ex

Income Income

 

Pence per Share

Cum Ex

Income Income

 

With financial liabilities at fair value

25.23 25.23

24.20 24.20

With financial liabilities at par value

25.23 25.23

24.20 24.20

 

 

The Company expects to release a NAV on the Tuesday of each week going forward.

 

For further information please contact:

 

David ("Sam") Hutchins Tel: 0207 290 8540

RDP Fund Management LLP

Investment Manager

 

Martin A Cassels Tel: 0131 550 3760

R&H Fund Services Limited

Company Secretary and Administrator 

This information is provided by RNS
The company news service from the London Stock Exchange
 
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