Net Asset Value(s)

RNS Number : 0531I
NB Global Monthly Income Fund Ltd
09 August 2021
 

Company Name

NB Global Monthly Income Fund Limited

Story Title

Net Asset Value

NAV Date

06/08/2021

Cum Fair NAV

Net Asset Value per share, including income with debt at fair value

Cum Fair GBp Share Value (ISIN GG00B3KX4Q34)

95.16

Note

Net Asset Values are calculated in accordance with published accounting policies and AIC guidelines

Contact Details

U.S. Bank Global Fund Services (Ireland) Limited +353 1 523 8000

 

 

 

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