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    F& Asset Mgmnt ITs - Net Asset Value(s)

    RELATED QUOTES

    SymbolPriceChange
    9547.KL1.600.00

    

    Date of Announcement:

    22/05/2012

    Net Asset Values per share as at close of business on

    21/05/2012

    The unaudited net asset values (NAVs) of the Company are noted below (where applicable) in pence per share. NAVs are calculated in accordance with stated policies. Applicable accounting standards and AIC (Kuala Lumpur: 9547.KL - news) recommendations are followed.

    Pence per share


    Pence per share

    Cum Income


    Ex Income

    Active Capital Trust plc

    16.82


    -





    British Assets Trust plc

    Financial liabilities at fair value

    114.59


    -

    Financial liabilities at par value

    119.76


    117.26



    European Assets Trust NV

    620.45


    -





    F∓C Managed Portfolio Trust plc - Growth

    93.65


    -





    F∓C Managed Portfolio Trust plc - Income

    92.02


    91.02





    Investors Capital Trust plc

    Financial liabilities at fair value

    79.34


    -

    Financial liabilities at par value

    79.93


    79.58





    Montanaro European Smaller Companies Trust plc

    436.48


    429.77





    F∓C Capital and Income Investment Trust PLC

    203.60


    199.17





    F∓C Global Smaller Companies PLC

    Financial liabilities at fair value

    558.30


    553.93

    Financial liabilities at par value

    563.99


    559.62





    F∓C US Smaller Companies PLC

    450.56


    450.56





    Foreign ∓ Colonial Investment Trust PLC

    Financial liabilities at fair value

    322.67


    319.60

    Financial liabilities at par value

    326.01


    322.94

    ENDNAVGMGZKDZGGZZM
     

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