NAV-Net Asset Value(s)

Rights and Issues Investment Trust PLC (RIII)
Rights and Issues Investment Trust PLC: NAV-Net Asset Value(s)

20-Jan-2023 / 12:53 GMT/BST
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The issuer is solely responsible for the content of this announcement.


 

Rights and Issues Investment Trust Plc

 

 

The Company announces:

Total Assets (including unaudited revenue reserves at 19/01/2023) of £144.34m

Net Assets (including unaudited revenue reserves at 19/01/2023) of £144.34m

 

 

 

The Net Asset Value (NAV) at 19/01/2023 was:

 

 

Number of shares in issue:

Per Ordinary share - including unaudited current period revenue*

2,357.99p

6,121,231

Per Ordinary share - excluding unaudited current period revenue* 

2,327.07p

 

Ordinary share price (mid-price)

1,955.00p

 

Discount to NAV

17.09%

 

*Current period revenue covers the period 01/01/2022 to 19/01/2023

 

 

 

 

 

Name of company

% of portfolio

1

Macfarlane Group Plc Ordinary 25p

12.86

2

Vp Plc Ordinary 5p

11.82

3

Hill & Smith Plc Ordinary 25p

11.26

4

Treatt Plc Ordinary 2p

7.79

5

Colefax Group Plc Ordinary 10p

7.17

6

Spirax-Sarco Engineering Plc Ordinary 26.9231p

5.97

7

RS Group Plc Ordinary 10p

5.56

8

Gamma Communications Plc Ordinary 0.25p

5.36

9

Renold Plc Ordinary 5p

5.25

10

Carr's Group Plc Ordinary GBp2.5

3.97

11

Videndum Plc Ordinary 20p

3.93

12

Telecom Plus Plc Ordinary

3.84

13

Morgan Advanced Materials Plc Ordinary 25p

3.38

14

IMI Plc Ordinary 25p

2.96

15

Spirent Communications Ord GBP0.033

2.64

16

Eleco Plc Ordinary 1p

2.18

17

Alpha Group International Plc Ordinary

1.80

18

Castings Plc Ordinary 10p

1.00

19

Titon Holdings Plc Ordinary 10p

0.64

20

Santander UK 10.375% Non Cumulative Preferred

0.39

21

Coral Products Plc Ordinary 1p

0.22

22

Dyson Group Plc Ordinary GBP0.001

0.03

23

Costain Group Plc Ordinary 50p

0.00

 



ISIN: GB0007392078
Category Code: NAV
TIDM: RIII
LEI Code: 2138002AWAM93Z6BP574
Sequence No.: 217384
EQS News ID: 1540369

 
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