Net Asset Value(s)
Source: RNSDowning Strategic Micro-Cap Investment Trust Plc
LEI Code: 213800QMYPUW4POFFX69
Net Asset Values
The Company announces the following, all of which is unaudited: |
|
Total Assets - including current period revenue* at 15 November 2024 |
£2.47m |
Net Assets - including current period revenue* at 15 November 2024 |
£2.47m |
Number of shares in issue: |
45,645,241 |
|
|
The Net Asset Value (NAV) per share at 15 November 2024 was: |
|
Per Ordinary share (bid price) - including current period revenue* |
5.41p** |
Per Ordinary share (bid price) - excluding current period revenue* |
5.41p** |
|
|
Ordinary share price |
4.60p |
|
|
Premium/(Discount) to NAV (including current period revenue) |
(14.95%) |
* Current period revenue covers the period 01/03/2024 to 15/11/2024 and includes undistributed revenue in respect of that period.
** NAV including available cash, after payment of forthcoming dividend, equating to 0.74p per Ordinary share.
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