Net Asset Value(s)

Net Asset Value(s)
Downing Strategic Micro-Cap Investment Trust Plc    
LEI Code: 213800QMYPUW4POFFX69    
Net Asset Value    
The Company announces:    
Total Assets (including unaudited revenue reserves at 29 May 2020 £35.25m  
Net Assets (including unaudited revenue reserves at 29 May 2020 £35.25m  
Number of shares in issue (excluding treasury): 54,600,002  
     
The Net Asset Value (NAV) per share at 29 May 2020 was:    
Per Ordinary share (bid price) - including unaudited current period revenue * † 64.56p  
Per Ordinary share (bid price) - excluding current period revenue * † 64.25p  
     
Ordinary share price  53.00p  
Premium/(Discount) to NAV (including current period revenue) (17.90%)  
     
* Current period revenue covers the period 01/03/2020 to 29/05/2020    
† NAV quoted ex-div in respect of dividend of 1.6p per share payable on 3 July 2020
(subject to shareholder approval)
   
       
Portolio summary: % of portfolio
1 Real Good Food Plc (Loan Notes) 19.59%  
2 Volex Plc 18.24%  
3 Cash and other net current assets 17.84%  
4 Adept Technology Group Plc  6.89%  
5 Ramsdens Holdings Plc 6.74%  
6 Fireangel Safety Technology Plc 6.53%  
7 Synectics Plc 6.00%  
8 Hargreaves Services Plc  5.71%  
9 Duke Royalty Ltd 3.91%  
10 Science in Sport Plc 2.07%  
11 Gama Aviation Plc 1.79%  
12 Pennant International Group Plc 1.12%  
13 Real Good Food Company Plc 0.75%  
14 Braemar Shipping Services Plc 0.33%  
  Other 2.49%  
  Total 100.00%  

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