Smithson Investment Trust Plc Net Asset Value(s)
July 01 2021 - 5:02AM
UK Regulatory
TIDMSSON
The unaudited net asset value (calculated on the AIC basis) of
Smithson Investment Trust plc, as at the close of business on 30 Jun
2021, was:
NAV per Ord share (incl. income) 1,746.80p
END
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July 01, 2021 05:02 ET (09:02 GMT)
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