Alliance Witan PLC Reports Significant Net Asset Value Update
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Alliance Witan PLC Net Asset Value Overview
At the close of business on a recent Thursday, Alliance Witan PLC's net asset value (NAV) revealed key financial insights that investors should not overlook. Understanding the NAV is crucial for stakeholders, as it provides a comprehensive view of the company's performance and financial health.
Current NAV Metrics
The company's NAV per ordinary share, assessed on a bid price basis with debt at par, is an essential indicator of value. The latest figures show that:
- Excluding income, the NAV stands at 1338.9p.
- Including income, it slightly decreases to 1337.7p.
These metrics reflect the company's solid position, showcasing the ongoing stability in its asset values.
Debt Evaluation
In addition to the NAV calculated at par, it’s important to consider the figures with debt evaluated at fair value. The results in this category are promising, with the NAV per ordinary share as follows:
- Excluding income, the NAV is noted at 1356.8p.
- Including income, the value adjusts to 1355.6p.
Such evaluations are crucial for investors, as they signify the net value of assets after considering debts effectively.
Understanding the Calculation of NAV
A clear understanding of how net asset values are computed is beneficial for investors and stakeholders alike. Alliance Witan PLC follows established accounting policies and adheres to AIC guidelines to ensure accuracy and reliability in their reporting.
Loan Notes Valuation
Another detail to highlight is the fair value assessment of the company’s fixed loan notes, which is determined by referencing a benchmark gilt. This practice assures investors that the company maintains a responsible approach towards its financial obligations.
Contact Information for Inquiries
For those interested in more detailed insights or specific inquiries regarding Alliance Witan PLC, you can reach out to:
Juniper Partners Limited
Tel: +44 (0)131 378 0500
Frequently Asked Questions
What is the significance of NAV for Alliance Witan PLC?
NAV provides insights into the market value of the company’s assets, indicating its overall financial performance.
How are NAV figures calculated?
The NAV figures are calculated following published accounting policies and the AIC guidelines, ensuring transparency and consistency.
What does debt at fair value mean for investors?
Debt at fair value reflects a more accurate assessment of liabilities, giving investors a clearer picture of financial obligations.
Why should investors monitor NAV regularly?
Monitoring NAV helps investors make informed decisions regarding their investments and understand market dynamics.
Who can I contact for more information about Alliance Witan PLC?
For inquiries, you can contact Juniper Partners Limited at +44 (0)131 378 0500 for further assistance.
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