Company Announcements

Net Asset Value(s)

Source: RNS
RNS Number : 6950M
RIT Capital Partners PLC
19 November 2024
 

RIT Capital Partners plc

19 November 2024

RIT Capital Partners plc (LEI: P31Q1NLTW35JJGHA4667)

Monthly Valuation Update and Factsheet

RIT Capital Partners plc ("RIT") announces that its unaudited diluted net asset value ("NAV") at the close of business on 31 October 2024 (with debt at fair value) was 2,600p per £1 ordinary share (30 September 2024: 2,619p), a flat total return for the month following the payment of a 19.5p interim dividend in October. Year to date, RIT's NAV per share total return was +8.8%.

RIT's Factsheet, which includes performance highlights and commentary for the month of October 2024, is available via this link:

https://www.ritcap.com/wp-content/uploads/2024/11/RIT_Fact-Sheet_October_2024.pdf

 

For more information:

J. Rothschild Capital Management Limited (Manager):

T: 020 7647 8565

E: investorrelations@ritcap.co.uk

Numis Securities Limited (Joint Broker):

David Benda

T: 020 7260 1000

JP Morgan Cazenove (Joint Broker):

William Simmonds

T: 020 3493 8000

Brunswick Group LLP (Media enquiries):

Nick Cosgrove, Sofie Brewis

T: 020 7404 5959

E: RIT@BrunswickGroup.com

 

 

About RIT Capital Partners plc

RIT was founded as the Rothschild Investment Trust in 1971. Today, RIT is a member of the FTSE 250 Index and one of the UK's largest investment trusts with total assets of approximately £4 billion. RIT's purpose is to grow your wealth meaningfully over time through a diversified and resilient global portfolio across quoted equities, private investments and uncorrelated strategies. Since listing on the London Stock Exchange in 1988, RIT has generated a total share price return of 10.3%* per annum (*at 30 June 2024) for its shareholders. RIT is managed by its wholly owned subsidiary, J. Rothschild Capital Management Limited (JRCM).

 

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