Net Asset Value(s)

MONTANARO UK SMALLER COMPANIES INVESTMENT TRUST PLC ('the Company') The fair value net asset value per Ordinary 10p Share of the Company as at 18 August 2014 was 546.07 pence including current period revenue. The fair value net asset value per Ordinary 10p Share of the Company as at 18 August 2014 was 540.75 pence excluding current period revenue. 19 August 2014
UK 100

Latest directors dealings