Net Asset Value(s)

RNS Number : 6372B
Schroder UK Public Private Tst plc
03 October 2022
 

Schroder UK Public Private Trust plc

 

Net Asset Value ("NAV")

 

The Board of Schroder UK Public Private Trust plc (the "Company") announces the indicative unaudited NAV per share of the Company as follows:

 

 Date

NAV- pence per share

30 September 2022

31.61p

 

The above unaudited NAV reflects a revaluation of the quoted holdings at the market close price on the NAV reporting date. The unquoted holdings are now valued at 30 June 2022 and are revalued each quarter, however, daily foreign exchange movements on unquoted holdings have been reflected in the daily NAV.

 

Quarterly valuations are released within four months of the Company's 31 December year end, within three months of the half-year period end, and within two months of the other quarterly valuation points. The last valuation date for private assets was 30 June 2022.

 

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