1 June 2021 - final results
Results for the year ended 31 December 2020. The net asset value as at 31 December 2020 was £42.8m (2019: £46.2m), the equivalent of 77.80p per share (2019: 84.09p) meaning that a loss of 6p per share was incurred during the year. The company's shares traded at an average discount of 28.9% to NAV during the reporting period. The net asset value was 85.87p per share as at 14 May 2021. There are holdings in a number of interesting companies and given the discount the shares stand at . . .
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