Net Asset Value(s)

By

Regulatory News | 07 Jun, 2022

Updated : 10:15

RNS Number : 9761N
Scottish Mortgage Inv Tst PLC
07 June 2022
 

Scottish Mortgage Investment Trust PLC (SMT)

06 June 2022

Legal Entity Identifier : 213800G37DCS3Q9IJM38

 

 

Cum Par NAV

858.20p

 XD

 

 


Cum Fair NAV

873.56p

 XD

 

 


Ex Par NAV

856.84p


 

 


Ex Fair NAV

872.21p


 

 


 

 


The fair value of long term borrowings is calculated weekly, using methodologies consistent with the International Private Equity and Venture Capital Valuation (IPEV) Guidelines.

 


 

 


Short-term borrowings are valued at par.

 


 

 


Net Asset Values are unaudited, and calculated in accordance with published accounting policies and AIC guidelines.

 


 

 


Cum Par NAV: Net asset value per share in pence, including income, with debt at par value.



Cum Fair NAV: Net asset value per share in pence, including income, with debt at fair value.



Ex Par NAV: Net asset value per share in pence, excluding income, with debt at par value.



Ex Fair NAV: Net asset value per share in pence, excluding income, with debt at fair value.

 


 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

RNS may use your IP address to confirm compliance with the terms and conditions, to analyse how you engage with the information contained in this communication, and to share such analysis on an anonymised basis with others as part of our commercial services. For further information about how RNS and the London Stock Exchange use the personal data you provide us, please see our Privacy Policy.
 
END
 
 
NAVKDLBBLQLFBBL

Last news