Net Asset Value(s)
February 18 2011 - 5:16AM
UK Regulatory
TIDMAFHC
ABERFORTH GEARED CAPITAL & INCOME TRUST plc ("AGCiT")
The Net Asset Values ("NAVs") for the above company as at the close of
business on 17 February 2011 were:-
Capital Share (per Articles) = 568.54p
Capital Share (capital entitlement of 100p per Income Share) = 567.09p
Capital Share (capital entitlement of 100p per Income Share and nil swap
valuation) = 576.75p
Income Share (excluding Current Year Revenue) = 102.92p
Income Share (including All Revenue) = 103.44p
Income Share (excluding All Revenue) = 99.38p
The market value of investments was GBP118.2m less bank debt and net current
assets/liabilities (excluding Income Shares) of GBP33.2m to leave
Shareholders' Funds (including Income Shares) of GBP85.0m.
Contact - Gary Tait (Tel: 0131 220 0733)
Aberforth Partners LLP, Secretaries - 18 February 2011
ANNOUNCEMENT ENDS
END
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