Miton Worldwide Growth Investment Trust plc It is announced that at the close of business on 30 January 2014, the unaudited Net Asset Value per share of Miton Worldwide Growth Investment Trust plc managed by Miton Asset Management Limited is: With the portfolio valued on a fair value basis: Including current period revenue to 30 January 2014 165.55p per ordinary share Excluding all revenue reserves 166.29p per ordinary share 31 January 2014
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|
5-day change | 1st Jan Change | ||
358 GBX | 0.00% |
|
+0.56% | +7.35% |
1st Jan change | Capi. | |
---|---|---|
+7.35% | 10Cr | |
+10.02% | 1.51TCr | |
+4.99% | 645.79Cr | |
+30.06% | 517.52Cr | |
+9.17% | 438.62Cr | |
-10.50% | 395.9Cr | |
+15.11% | 357.43Cr | |
-0.64% | 345.16Cr | |
+11.11% | 316.63Cr | |
-1.34% | 286.23Cr |
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