Net Asset Value(s)
July 08 2009 - 6:01AM
UK Regulatory
TIDMUSPI
GLOBAL SPECIAL OPPORTUNITIES TRUST PLC
ESTIMATED NET ASSET VALUE CALCULATION AS AT
02 July 2009
UK GAAP
GBP million %
Investments 13.62 92.31
Cash 1.28 8.66
14.90 100.97
Other net current assets/(liabilities) 0.17 1.10
Loan value USD revolving credit facility -0.31 -2.07
Net Assets (including estimated 14.76 100.00
revenue reserves at 02
July 2009 of GBP0.07m)
Number of shares
in issue
Net Asset Value per Capital - 50,000,000
share:
Income 57.04p 25,210,008
ZDP 182.61p 206,037
US$
USD exchange rate used to revalue all US assets and 1.63680
liabilities
In accordance with AIC guidelines the net asset value calculations include
estimated current period revenue.
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 dollars) of unlisted warrants
every month. 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
recent monthly valuation.
Intrinsic value of unlisted warrants at 02 July 2009: $86,471
Sterling equivalent at exchange rate above: GBP0.05m
Time value of unlisted warrants as at 30 June 2009: $357,947
(adjusted for warrants subsequently acquired, exercised or
disposed)
Sterling equivalent at exchange rate above: GBP0.22m
END
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