Net Asset Value(s)

NET ASSET VALUE AND ANNUAL REPORT

  1. NET ASSET VALUE

British & American Investment Trust PLC announces that, as at 28th June 2019, the value of the group’s investments and cash at banks  was £9.4 million (net of £1.675 million final ordinary and preference dividends paid on 27th June,  equivalent to 4.8 pence per share fully diluted) and the unaudited consolidated net asset value of the company was not less than  26.8 pence per ordinary share on a fully diluted basis.  

End

UK 100

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