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Alliance Trust PLC – Net Asset Value | 27.08.24

Alliance Trust PLC – Net Asset Value | 27.08.24

ALLIANCE TRUST PLC

At the close of business on Friday, August 23, 2024:

The NAV per common share of the Company, valued on an offer price basis with debt at par, was

– excluding income, 1252.0p

– including income, 1257.1p

The NAV per common share of the Company, valued on an offer price basis with debt at fair value, was

– excluding income, 1255.4p

– including income, 1260.5p

For more information please contact: –

Juniper Partners Limited
Phone: +44 (0)131 378 0500

Notes

  1. The net asset value is calculated in accordance with published accounting policies and AIC guidelines.
  2. The fair value of the Company’s fixed loans is calculated using a benchmark government loan.