Deep Insights into Alliance Witan PLC's Recent NAV Disclosure
Understanding Alliance Witan PLC's Net Asset Value
Alliance Witan PLC is a prominent name in the investment sector, particularly known for its strategic asset management and insightful financial evaluations. Recently, there have been significant updates concerning its net asset value (NAV), which is crucial for current and prospective shareholders.
Recent Net Asset Values Announced
As of the latest financial update, the Company’s NAV per ordinary share, calculated on a bid price basis with Debt at Par, stands impressively at:
- Excluding income, the NAV is 1259.0p.
- Including income, it slightly rises to 1260.0p.
Debt at Fair Value Evaluation
In an even more detailed analysis with Debt at Fair Value, the NAV figures present a positive outlook:
- Excluding income, the fair value is 1276.8p.
- Including income, it reaches 1277.8p, indicating a robust financial position.
Company Contact Information
For stakeholders seeking more information, reaching out to the company's representative is encouraged. Their contact details are as follows:
Juniper Partners Limited
Tel: +44 (0)131 378 0500
Transparent Financial Policies
The calculated Net Asset Values align with both the published accounting policies and guidelines set by the Association of Investment Companies (AIC). This transparency aids investors in understanding the true value of their investments.
Valuation Methodology
Moreover, it is essential to note that the fair value of the Company’s fixed loan notes is determined based on a recognized benchmark gilt. This metric serves as a reliable reference point for assessing the Company's financial health.
Implications for Investors
The update on NAV provides a critical insight for investors, indicating the financial health and future performance potential of Alliance Witan PLC. Investors can benefit greatly by monitoring such updates, as they provide valuable context for making informed investment decisions.
Frequently Asked Questions
What is the recent NAV of Alliance Witan PLC?
The recent NAV per ordinary share is reported at 1259.0p excluding income and 1260.0p including income.
How is the NAV calculated for Alliance Witan PLC?
The NAV is calculated according to established accounting policies and AIC guidelines.
Where can I find more information about Alliance Witan PLC?
Further inquiries can be directed to Juniper Partners Limited at +44 (0)131 378 0500.
What does Debt at Fair Value mean for investors?
Debt at Fair Value provides a nuanced understanding of the Company’s liabilities and is a critical factor in evaluating its financial stability.
Why is understanding NAV important for shareholders?
Understanding NAV helps shareholders gauge the value of their investments and make informed decisions regarding buying or selling shares.
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