TIDMRUG 
 
RENN UNIVERSAL GROWTH INVESTMENT TRUST PLC 
 
The Company recently announced that it has begun a managed realisation of 
its assets. Given this change, net asset value announcements will be made 
on a weekly basis going forward. 
 
The Net Asset Value of the ordinary 25p shares of the Company at 14 June 
2013 was as follows: 
 
Including current period revenue 323.62 pence (US507.36c) (includes revenue 
reserve losses up to and including 14 June 2013) 
 
Excluding current period revenue 325.46 pence (US510.24c) (includes revenue 
reserve losses up to and including the year ended 31 March 2013) 
 
The exchange rate at which this was calculated was GBP=US$1.56775 
 
As at 14 June 2013, the Company holds net cash of GBP4.887m, and expects the 
proportion to rise following the adoption of the new investment policy and 
objective approved by shareholders on April 17th 2013. 
 
The Net Asset Value calculation includes the time value of unlisted 
warrants in respect of the portfolio valuation. The Company has adopted the 
Black Scholes methodology and will calculate the time value (in US Dollars) 
of unlisted warrants every quarter. The warrants included in the portfolio 
for the twice weekly NAV calculations will be calculated by valuing the 
intrinsic value of the warrants and adding the time value as at the most 
recently calculated quarterly valuation. 
 
 
 
Intrinsic value of unlisted warrants as at 14 June      $2,921,062 
2013 
 
 
 
Sterling equivalent at exchange rate above:             GBP1,863,219 
 
Time value of unlisted warrants as at 28 March 2013: 
(adjusted for warrants subsequently acquired, 
exercised, expired or disposed)                               $889 
 
 
 
Sterling equivalent at exchange rate above:                   GBP567 
 
Share price as at 14 June 2013                             239.50p 
 
Discount:                                                 (25.99%) 
 
17 June 2013 
 
 
 
END 
 

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