Schroder UK Public Private Trust PLC
Move to Daily Pricing
The Board of Schroder UK Public Private Trust PLC (the "Company") announces that it will commence daily valuations from 1 November 2021, as recently communicated in the Company's 2021 Annual Report.
The first valuation point will be Monday, 1 November 2021 with release scheduled for Tuesday, 2 November 2021. The indicative daily net asset value ("NAV") calculation will revalue the quoted holdings at the market close price. The unquoted holdings are revalued each quarter, with daily foreign exchange movements applied if applicable. The first daily NAV will incorporate private market valuations as at 30 June 2021.
The Company's holding in Rutherford Health plc will continue to be revalued quarterly in line with our valuation methodology for unquoted assets, for the rationale recently set out in the Company's last Annual Report and Accounts.
Enquiries
John Spedding (Schroders) +44 20 7658 3206
Jonathon McManus (Schroders) +44 20 7658 4667