Alliance Witan PLC Reports Impressive NAV Performance

Understanding Alliance Witan PLC's Net Asset Value
Alliance Witan PLC has made noteworthy strides in its financial reporting with its recent assessment of net asset value (NAV). At the market close on a specified Tuesday in February, the NAV figures revealed interesting insights into the company's financial health and market positioning.
Recent NAV Evaluations
As per the recent report, the Company’s NAV per ordinary share exhibited notable figures. When evaluated on a bid price basis with Debt at Par, the comprehensive valuations are as follows:
- Excluding income, the NAV stands at 1352.7p.
- Including income, it slightly adjusts to 1351.3p.
Debt at Fair Value
Further detailing the financial metrics, when assessed with Debt at Fair Value, the NAV presents a revised outlook:
- Excluding income, it rises to 1370.3p.
- Including income, this measure settles at 1368.9p.
Key Financial Insights
The figures provided are essential for investors looking to understand the financial stability and market standing of Alliance Witan PLC. These NAV figures, calculated in harmony with established accounting standards and guidelines set by the Association of Investment Companies (AIC), offer clarity and transparency about the company’s profitability and financial resilience.
The Significance of the Calculations
It's important to note that the valuation of the Company’s fixed loan notes incorporates benchmarks like gilt to ensure accurate fair value determination. This adherence to strict financial practices reassures stakeholders regarding the robustness of the company’s valuations.
Contact Information
For additional insights or queries regarding Alliance Witan PLC, interested parties can reach out to the company:
Juniper Partners Limited
Tel. +44 (0)131 378 0500
Frequently Asked Questions
What is the recent NAV of Alliance Witan PLC?
The latest NAV per ordinary share excluding income is 1352.7p, and including income, it is 1351.3p.
How does Alliance Witan PLC calculate its NAV?
The NAV is calculated according to published accounting policies and the guidelines by AIC.
What is the significance of Debt at Fair Value?
Debt at Fair Value represents a more accurate measure of the company's liabilities, reflecting current market conditions.
Who can I contact for more information on Alliance Witan PLC?
For inquiries, you can contact Juniper Partners Limited at +44 (0)131 378 0500.
Why is NAV important for investors?
NAV provides investors with an essential evaluation of a company's worth and helps in understanding its market position and profitability.
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