Marwyn Value Investors Limited Net Asset Value (5773V)
November 03 2017 - 1:02PM
UK Regulatory
TIDMMVI TIDMMVIR
RNS Number : 5773V
Marwyn Value Investors Limited
03 November 2017
3 November 2017
Marwyn Value Investors Limited
Net Asset Value per Realisation Share
The board of directors of Marwyn Value Investors Limited (the
"Company") today announces that the estimated net asset value per
Realisation Share of the Company based on the estimated value of
its interests in Marwyn Value Investors L.P. is GBP2.33516 as at 20
October 2017. As at 20 October 2017 there were 8,520,206
Realisation Shares in issue.
As at 20 October the closing mid share price of a Realisation
Share in the Company was GBP1.7000 and represented a discount of
27.20% to the net asset value per Realisation Share.
Historic Performance
Estimated Movement Movement Year NAV Inception
NAV over over to date to date
per Period Month Movement (%) *
share (%) (%) (%)
(GBP)
2017:
October
20 2.33516 -3.0 -2.4 +9.9 +8.3
October
13 2.40633 +0.2 +0.5 +13.3 +11.6
October
6 2.40061 +0.3 +0.3 +13.0 +11.3
September
29 2.39380 +1.0 +12.7 +11.0
August
31 2.36926 +3.1 +11.5 +9.9
July 31 2.29884 -0.6 +8.2 +6.6
June 30 2.31222 -2.8 +8.8 +7.2
May 31 2.37761 +5.2 +11.9 +10.2
April 28 2.26040 +3.0 +6.4 +4.8
March 31 2.19391 +5.1 +3.3 +1.7
February
28 2.08682 -1.1 -1.8 -3.2
January
31 2.10976 -0.7 -0.7 -2.2
2016:
December
30 2.12439 -1.5 -1.5 -1.5
November
30 2.15676
*Inception to date is calculated from the creation of the
Realisation Shares on 30 November 2016
Enquiries to:
Axio Capital Solutions Limited
One Waverley Place
Union Street
St Helier
Jersey
JE1 1AX
This information is provided by RNS
The company news service from the London Stock Exchange
END
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November 03, 2017 13:02 ET (17:02 GMT)
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