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Net Asset Value(s) Update

10 Jun 2026 14:32

RNS Number : 8124H
Investment Company PLC
10 June 2026
 

LEI: 2138004PBWN5WM2XST62

The Investment Company PLC

(the "Company")

Net Asset Value Update

 

The Company announces that the Net Asset Value ("NAV") per Ordinary Share (including unaudited current period revenue to 5 June 2026) at 5 June 2026 was:

Per Ordinary Share (excluding costs): 77.4p

Per Ordinary Share (adjusted for costs)*: 73.3p

Ordinary Share mid-price: 68.5p

Discount to NAV: 6.5%

\* The NAV per Ordinary Share at 5 June 2026 includes the contractual costs of the Placing and Offer for Subscription as shown in the announcement made on 4 June 2026.

 

In relation to the Proposals and Circular published on 4 June 2026 by the Company, the Tender Price and Issue Price will be calculated before deducting any accrued or paid Transaction Costs as at the Calculation Date.

All capitalised terms in the announcement are as defined in the circular.

 

Enquiries

The Investment Company Ian Dighé, Chairman

+44 (0) 20 3934 6632info@theinvestmentcompanyplc.co.uk

 

Chelverton Asset Management Limited

Investment Manager

David Horner

 

+44 (0) 1225 483030

dah@chelvertonam.com

 

 

Shore Capital

Gillian Martin (Corporate Advisory)

+44 (0) 20 7601 6128

Henry Willcocks/Fiona Conroy (Corporate Broking)

 

ISCA Administration Services Limited

Company Secretary

+44 (0) 1392 487056

 

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