Correction: Net Asset Value(s)

This announcement amends the original publication made at 12:30 on 5th December 2022. The ex-income price for the 2nd December 2022 was transposed, price should have been 180.39.

The Net Asset Values per share (at bid-market values) of Premier Miton Global Renewables Trust PLC at close of business on 02 December 2022 calculated in accordance with the Articles of Association of the Company are as follows:

Premier Miton Global Renewables Trust PLCOrdinary Shares – ex income180.39p
Premier Miton Global Renewables Trust PLCOrdinary Shares – cum income182.42p
PMGR Securities 2025 PLCZero Dividend Preference Shares – accrued capital entitlement110.28p

The above Net Asset Value has been calculated based on the number of shares in issue as at the above date, being 18,238,480 Premier Miton Global Renewables Trust PLC Ordinary Shares and 14,217,339 PMGR Securities 2025 PLC Zero Dividend Preference Shares.

Total assets less current liabilities as at the above date were £48.9 million. This amount excludes the liability for the repayment of PMGR Securities 2025 PLC Zero Dividend Preference Shares on their final redemption date of 30 November 2025. The portfolio has been valued using bid prices. 

Net asset attributable to holders of Premier Miton Global Renewables Trust PLC Ordinary Shares at the above date were 33.3 million.

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