NAV at 21 June
26 June 2013
Net Asset Value
The Corporation publishes its Net Asset Value (‘NAV’) each Monday and immediately after each month end.
- The Board of The Law Debenture Corporation p.l.c. announces that its Net Asset Value (NAV Ex Income) at 21 June 2013 was 409.71 pence per share and NAV Cum Income was 415.79 pence per share. With the Corporation's long term debt stated at fair value, the NAV is reduced by 4.82 pence per share. The mid-market price at 21 June 2013 was 483.10 pence per share.
Geographical Split and Top Ten Holdings
Immediately following the end of each month, we also publish information about the geographical split and top ten holdings of the portfolio.
The current data is as follows:
Geographical Split at 31 May 2013
||% of Portfolio
|Cash and Fixed Interest
||Name of Holding
||% of Portfolio (excl. cash)
|UK Treasury 2.25% 07/03/14||6.18|
||Henderson Japan Capital Growth||2.53|
|6||Henderson Asia Pacific Capital Growth
Baillie Gifford Pacific
Royal Dutch Shell