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Net Asset Value(s)

29 Nov 2017 11:50

Invesco Investment Trusts - Net Asset Value(s)

Invesco Investment Trusts - Net Asset Value(s)

PR Newswire

London, November 29

Net Asset Values for
investment trust companies
managed by Invesco Fund Managers Limited
---
The Edinburgh Investment Trust Plc
As at close of business on 28-November-2017
NAV per Ordinary share (unaudited) with Debt at Par
EXCLUDING undistributed current year revenue 752.28p
INCLUDING current year revenue 766.98p
NAV per Ordinary share (unaudited) with Debt at Fair Value
EXCLUDING undistributed current year revenue 738.60p
INCLUDING current year revenue 753.31p
LEI: 549300HV0VXCRONER808
---
Invesco Perpetual UK Smaller Companies Trust plc
As at close of business on 28-November-2017
NAV per Ordinary share (unaudited) with Debt at Par & Fair Value
EXCLUDING undistributed current year revenue 530.73p
INCLUDING current year revenue 533.31p
The fair value of debt is not materially different from the carrying value.
The NAV includes a provision for any performance fee applicable.
LEI: 549300K1D1P23R8U4U50
---
Perpetual Income & Growth Investment Trust plc
As at close of business on 28-November-2017
NAV per Ordinary share (unaudited) with Debt at Par
EXCLUDING undistributed current year revenue 410.30p
INCLUDING current year revenue 417.62p
NAV per Ordinary share (unaudited) with Debt at Fair Value
EXCLUDING undistributed current year revenue 405.80p
INCLUDING current year revenue 413.11p
LEI: 549300UIWJ7E60WUQZ16
---
Invesco Income Growth Trust plc
As at close of business on 28-November-2017
NAV per Ordinary share (unaudited) with Debt at Par & Fair Value
EXCLUDING undistributed current year revenue 321.75p
INCLUDING current year revenue 328.31p
The fair value of debt is not materially different from the carrying value.
LEI: 549300DI4285Q8ZFO135
---
Keystone Investment Trust Plc
As at close of business on 28-November-2017
NAV per Ordinary share (unaudited) with Debt at Par
EXCLUDING undistributed current year revenue 1992.43p
INCLUDING current year revenue 2040.98p
NAV per Ordinary share (unaudited) with Debt at Fair Value
EXCLUDING undistributed current year revenue 1936.43p
INCLUDING current year revenue 1984.98p
The NAV includes a provision for any performance fee applicable.
LEI: 5493002H3JXLXLIGC563
---
Invesco Asia Trust plc
As at close of business on 28-November-2017
NAV per Ordinary share (unaudited) with Debt at Par & Fair Value
EXCLUDING undistributed current year revenue 334.05p
INCLUDING current year revenue 339.13p
The fair value of debt is not materially different from the carrying value.
LEI: 549300YM9USHRKIET173
---
Invesco Perpetual Select Trust plc
Global Equity Income class Ordinary shares
As at close of business on 28-November-2017
NAV per share (unaudited) with Debt at Par & Fair Value
EXCLUDING undistributed current year revenue 209.62p
INCLUDING current year revenue 209.28p
The fair value of debt is not materially different from the carrying value.
The NAV includes a provision for any performance fee applicable.
LEI: 549300JZQ39WJPD7U596
---
Invesco Perpetual Select Trust plc
UK Equity class Ordinary shares
As at close of business on 28-November-2017
NAV per share (unaudited) with Debt at Par & Fair Value
EXCLUDING undistributed current year revenue 186.93p
INCLUDING current year revenue 186.58p
The fair value of debt is not materially different from the carrying value.
The NAV includes a provision for any performance fee applicable.
LEI: 549300JZQ39WJPD7U596
---
Invesco Perpetual Select Trust plc
Managed Liquidity class Ordinary shares
As at close of business on 28-November-2017
NAV per share (unaudited) with Debt at Par & Fair Value
EXCLUDING undistributed current year revenue 103.21p
INCLUDING current year revenue 103.30p
LEI: 549300JZQ39WJPD7U596
---
Invesco Perpetual Select Trust plc
Balanced Risk class Ordinary shares
As at close of business on 28-November-2017
NAV per share (unaudited) with Debt at Par & Fair Value
EXCLUDING undistributed current year revenue 141.03p
INCLUDING current year revenue 141.04p
The fair value of debt is not materially different from the carrying value.
LEI: 549300JZQ39WJPD7U596
---
Date   Source Headline
10th Oct 201911:26 amPRNNet Asset Value(s)
9th Oct 201911:49 amPRNNet Asset Value(s)
8th Oct 201911:39 amPRNNet Asset Value(s)
7th Oct 201912:28 pmPRNNet Asset Value(s)
4th Oct 201911:42 amPRNNet Asset Value(s)
3rd Oct 201911:46 amPRNNet Asset Value(s)
2nd Oct 201911:41 amPRNNet Asset Value(s)
1st Oct 201911:08 amPRNNet Asset Value(s)
1st Oct 201910:15 amPRNPortfolio Update
30th Sep 201912:25 pmPRNNet Asset Value(s)
27th Sep 201911:59 amPRNNet Asset Value(s)
26th Sep 201912:05 pmPRNDirector Declaration
26th Sep 201911:54 amPRNNet Asset Value(s)
25th Sep 201911:47 amPRNNet Asset Value(s)
24th Sep 201911:11 amPRNNet Asset Value(s)
23rd Sep 201912:29 pmPRNNet Asset Value(s)
20th Sep 201911:46 amPRNNet Asset Value(s)
19th Sep 201911:51 amPRNNet Asset Value(s)
18th Sep 201911:15 amPRNNet Asset Value(s)
17th Sep 201911:55 amPRNNet Asset Value(s)
16th Sep 201911:17 amPRNNet Asset Value(s)
13th Sep 201911:21 amPRNNet Asset Value(s)
12th Sep 201911:35 amPRNNet Asset Value(s)
11th Sep 20194:01 pmPRNResult of AGM
11th Sep 20193:59 pmPRNDividend Declaration
11th Sep 201911:34 amPRNNet Asset Value(s)
10th Sep 201911:27 amPRNNet Asset Value(s)
9th Sep 201912:08 pmPRNNet Asset Value(s)
6th Sep 201912:03 pmPRNNet Asset Value(s)
5th Sep 201911:32 amPRNNet Asset Value(s)
4th Sep 20191:54 pmPRNPortfolio Update
4th Sep 201912:12 pmPRNNet Asset Value(s)
3rd Sep 201911:40 amPRNNet Asset Value(s)
2nd Sep 201912:38 pmPRNNet Asset Value(s)
30th Aug 201911:40 amPRNNet Asset Value(s)
29th Aug 201912:08 pmPRNNet Asset Value(s)
28th Aug 201912:17 pmPRNNet Asset Value(s)
27th Aug 201912:08 pmPRNNet Asset Value(s)
23rd Aug 201911:47 amPRNNet Asset Value(s)
22nd Aug 201911:20 amPRNNet Asset Value(s)
21st Aug 201911:39 amPRNNet Asset Value(s)
20th Aug 201912:12 pmPRNNet Asset Value(s)
19th Aug 201912:04 pmPRNNet Asset Value(s)
16th Aug 201912:24 pmPRNNet Asset Value(s)
15th Aug 201912:03 pmPRNNet Asset Value(s)
14th Aug 201911:26 amPRNNet Asset Value(s)
13th Aug 201911:25 amPRNNet Asset Value(s)
12th Aug 201911:41 amPRNNet Asset Value(s)
9th Aug 201911:34 amPRNNet Asset Value(s)
8th Aug 201911:53 amPRNNet Asset Value(s)

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