Merchants Trust – Half Year Report

The NAV returns were as follows:

 

        At 31

        July

        2016

 

     At 31

     January

     2016

Capital return

% change

Total return

% change

Net asset value per ordinary share (debt at market value)

447.0p

437.7p

+2.1

+4.9

Net asset value per ordinary share (debt at par)

475.0p

458.1p

+3.7

+6.3

Ordinary share price

424.0p

414.0p

+2.4

+5.3

FTSE 100 Index

6,724.4

6,083.8

+10.5

+13.1

Discount of ordinary share price to net asset value (debt at market value)

-5.1%

-5.4%

n/a

n/a

Discount of ordinary share price to net asset value (debt at par)

-10.7%

-9.6%

n/a

n/a

Back to All News All Market News

Sign up for our Stock News Highlights

Delivered to your inbox every Friday

This site is protected by reCAPTCHA and the Google Privacy Policy and Terms of Service apply.