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RLU Royal Lon Tst

19.00
0.00 (0.00%)
10 May 2024 - Closed
Delayed by 15 minutes
Share Name Share Symbol Market Type Share ISIN Share Description
Royal Lon Tst LSE:RLU London Ordinary Share GB0030794050 ORD 1P
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  0.00 0.00% 19.00 0.00 01:00:00
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
0 0 N/A 0

Monthly Net Asset Value(s)

08/05/2008 5:24pm

UK Regulatory


RNS Number:0262U
Royal London UK Eqty&Income Tst PLC
08 May 2008

ROYAL LONDON UK EQUITY & INCOME TRUST PLC (the "Company")

As at close of business on 30 April 2008, the unaudited net asset value ("NAV")
per share class of

the Company calculated in accordance with the AIC formula was:



NAV per Ordinary Share excluding current financial year revenue items = 32.01
pence

NAV per Annuity Share = 75.00 pence*



In the Chairman's Statement in the last Annual Report and Accounts, the Board
stated its intention to move towards a more absolute return profile in the
Trust.  In line with this intention, the Board has authorised the Manager to
adopt the use of certain derivatives which reduce market risks.  The Manager has
started this process. These strategies change the risk profile of the Trust and
it is no longer meaningful simply to report positions in terms of "asset
allocation".  Accordingly, the table below reflects the correct exposures to
markets that the strategies are currently creating in the Trust.



As at 30 April 2008



Asset Exposures:

Equity Portfolio = #58.4m

Fixed Interest Portfolio = #17.2m

Income Portfolio = #3.6m



Cash = #38.7m



Total Gross Assets = #117.9m

Net Assets (excl ZDPs) = #44.9m



ROYAL LONDON UK EQUITY & INCOME SECURITIES PLC (the "Subsidiary")

As at close of business 30 April 2008, the NAV per Zero Dividend Preference

share of the Subsidiary, a wholly owned subsidiary of the Company = 174.32
pence.



*Notes:

1.  The investments are valued at bid and the bank loan is included at fair
value.

2.  The NAV of 75.00 pence per Annuity Share stated above is the amount payable
to Annuity Shareholders according to the Articles of Association on their
redemption date of 14 September 2021. Consent of the Annuity Shareholders to a
winding-up prior to that date would be required.  The Articles do not provide a
formula to be used in such an event and any settlement would need to be
negotiated with the Annuity Shareholders.  The NAV of 75.00 pence should not be
taken as reflecting such an amount.

3. The NAV per Ordinary Share stated above includes a payment from Royal London
Asset Management in respect of a refund of VAT on management fees, further
details of which can be found in the Chairman's Statement in the Company's
Interim Report for the half year ended 29 February 2008.







BNP Paribas Secretarial Services Limited

Secretary

8 MAY 2008


                      This information is provided by RNS
            The company news service from the London Stock Exchange
END

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