LEI: 2138004PBWN5WM2XST62
The Investment Company PLC
(the "Company")
Net Asset Value
The Company announces that the Net Asset Value ("NAV") per Ordinary Share (including unaudited current period revenue to 6 October 2023) at 6 October 2023 was:
Per Ordinary Share: 329.0p
Ordinary Share mid-price: 335.0p
Premium to NAV: 1.8%
Enquiries
| The Investment Company |
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| Chelverton Asset Management Limited - Investment Manager |
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| David Horner
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+44 (0) 1225 483030 dah@chelvertonam.com |
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| Singer Capital Markets - Corporate Broker |
+44 (0)20 7496 3000 |
| James Moat / Alex Emslie |
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| ISCA Administration Services Limited Company Secretary |
+44 (0) 1392 487056 |