Update on Alliance Witan PLC's Net Asset Value Metrics
Current Insights on Alliance Witan PLC's Net Asset Value
At the end of a recent business day, noteworthy information on Alliance Witan PLC is now available. This information pertains to the Net Asset Value (NAV) per ordinary share for the company.
Net Asset Value Overview
The Net Asset Value per ordinary share is an important measure to evaluate the company’s stock performance. As of the latest closing data:
- Excluding income, the NAV stood at 1339.7p.
- Including income, it was recorded at 1337.7p.
When assessed with the Debt at Fair Value, the NAV per ordinary share offers a slightly different picture:
- Excluding income, it was 1358.2p.
- Including income, the figure was slightly lower at 1356.2p.
Understanding NAV Calculations
The NAV calculations are conducted in adherence to established accounting norms and guidelines provided by the AIC. This adherence ensures that the figures reflect the true value of the company's shares in an accurate manner, allowing investors to make informed decisions.
Significance of Fair Value
The fair value assigned to the company’s fixed loan notes is computed based on a reference to a prevalent benchmark gilt. This provides transparency and aids in the assessment of the company’s financial health
Contact Information
For those seeking additional information regarding this update or the company's performance metrics, you can reach out to:
Juniper Partners Limited
Telephone: +44 (0)131 378 0500
Frequently Asked Questions
What is the latest NAV for Alliance Witan PLC?
The latest NAV per ordinary share, excluding income, is 1339.7p.
How is the NAV calculated?
NAV is calculated based on published accounting policies and AIC guidelines.
What is the significance of including income in NAV?
Including income provides a fuller picture of the overall value of the shares.
Who can I contact for more information?
You can contact Juniper Partners Limited at +44 (0)131 378 0500.
What does it mean for the NAV to be calculated at fair value?
Calculating NAV at fair value reflects market conditions more accurately compared to using a par value.
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