23/09/2020 14:23
Chelverton UK Dividend Trust plc: Net Asset Value(s)
INFORMATION REGLEMENTEE

Chelverton UK Dividend Trust plc (SDVP)
Chelverton UK Dividend Trust plc: Net Asset Value(s)

23-Sep-2020 / 13:23 GMT/BST
Dissemination of a Regulatory Announcement, transmitted by EQS Group.
The issuer is solely responsible for the content of this announcement.



Chelverton UK Dividend Trust PLC


The Company announces:


Total Assets (including unaudited revenue reserves at 22/09/2020) of £40.97m


Net Assets (including unaudited revenue reserves at 22/09/2020) of £24.82m


 


The Net Asset Value (NAV) at 22/09/2020 was:


 


 


Number of shares in issue:


Per Ordinary share (bid price) - including unaudited current period revenue*


119.02p


20,850,000.00


Per Ordinary share (bid price) - excluding current period revenue* 


119.02p


 


Ordinary share price


116.00p


 


Premium / (Discount) to NAV


(2.54)%


 


Ordinary shares have an undated life


 


 


 


 


 


ZDP share


111.37p


14,500,000.00


ZDP share price


107.00p


 


Premium to NAV


(3.93)%


 


ZDP shares are held in a subsidiary and have a redemption date of 30/04/2025


 


 


 


*Current period undistributed revenue covers the period 01/05/2019 to 22/09/2020


 




ISIN: GB0006615826, GB00BZ7MQD81
Category Code: NAV
TIDM: SDVP
LEI Code: 213800DAF47EJ2HT4P78
OAM Categories: 3.1. Additional regulated information required to be disclosed under the laws of a Member State
Sequence No.: 84734
EQS News ID: 1135687

 
End of Announcement EQS News Service


fncls.ssp?fn=show_t_gif&application_id=1135687&application_name=news&site_id=symex






Chelverton UK Dividend Trust plc (SDVP)







Chelverton UK Dividend Trust plc: Net Asset Value(s)

23-Sep-2020 / 13:23 GMT/BST



Dissemination of a Regulatory Announcement, transmitted by EQS Group.


The issuer is solely responsible for the content of this announcement.














































Chelverton UK Dividend Trust PLC



The Company announces:



Total Assets (including unaudited revenue reserves at 22/09/2020) of £40.97m



Net Assets (including unaudited revenue reserves at 22/09/2020) of £24.82m



 



The Net Asset Value (NAV) at 22/09/2020 was:



 



 



Number of shares in issue:



Per Ordinary share (bid price) - including unaudited current period revenue*



119.02p



20,850,000.00



Per Ordinary share (bid price) - excluding current period revenue* 



119.02p



 



Ordinary share price



116.00p



 



Premium / (Discount) to NAV



(2.54)%



 



Ordinary shares have an undated life



 



 



 



 



 



ZDP share



111.37p



14,500,000.00



ZDP share price



107.00p



 



Premium to NAV



(3.93)%



 



ZDP shares are held in a subsidiary and have a redemption date of 30/04/2025



 



 



 



*Current period undistributed revenue covers the period 01/05/2019 to 22/09/2020


 


































ISIN: GB0006615826, GB00BZ7MQD81
Category Code: NAV
TIDM: SDVP
LEI Code: 213800DAF47EJ2HT4P78
OAM Categories: 3.1. Additional regulated information required to be disclosed under the laws of a Member State
Sequence No.: 84734
EQS News ID: 1135687





 
End of Announcement EQS News Service








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