Mid Wynd International Investment Trust Plc Net Asset Value(s)
January 02 2024 - 9:35AM
UK Regulatory
TIDMMWY
MID-WYND INTERNATIONAL
INVESTMENT TRUST PLC
(the "Company")
LEI:
549300D32517C2M3A561
Date: 02 January 2024
Net Asset Value
The Company announces
that, as at the close
of business on 29
December 2023, the
unaudited net asset
values per ordinary
share, valued on a
'bid price' basis,
were:
Capital only: 759.42p
Including income:
763.37p
Enquiries:
Juniper Partners
Limited
Company Secretary
Email:
cosec@junipartners.com
Enquiries: 0131 378
0500
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