Value and Income Trust plc Month End Net Asset Values (8851P)
September 05 2017 - 10:01AM
UK Regulatory
TIDMVIN
RNS Number : 8851P
Value and Income Trust plc
05 September 2017
VALUE AND INCOME TRUST PLC
Value and Income Trust PLC ('VIT') announces the following
unaudited, month end Net Asset Values as at close of business on 31
August 2017:-
Ordinary share (debt at Par Value) (pence): 347.09p
Ordinary share (debt at Fair Value) (pence): 320.66p
These figures do not include any current year revenue.
VIT's property portfolio is revalued independently by
professional valuation on an open market basis at 31 March and 30
September each year, which is reflected in the above figures, where
appropriate.
This information is provided by RNS
The company news service from the London Stock Exchange
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