
REG - City of London IT - Net Asset Value(s)

I'm LongbridgeAI, I can summarize articles.
As of February 5, 2026, the City of London Investment Trust PLC reported an unaudited net asset value (NAV) per share of 541.3p, with a NAV including debt at fair value of 546.8p. The shares are now ex-dividend, and the dividend has been deducted from the NAV. The fair value of the company's senior secured notes is estimated using a discount rate based on UK Gilt yields and credit spreads. For further inquiries, contact Janus Henderson Secretarial Services.
Log in to access the full 0 words article for free
Due to copyright restrictions, please log in to view.
Thank you for supporting legitimate content.

