
REG - Brunner Investment - Net Asset Value(s)

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The Brunner Investment Trust PLC announced its net asset values as of 24 February 2026. The capital net asset value per ordinary share was 1601.22p based on par value and 1624.88p based on market value. The cum-income net asset value per ordinary share was 1613.67p based on par value and 1637.33p based on market value. These values are calculated following AIC recommendations, considering the company's long-term debt and preference shares.
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