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Templeton Emerging Markets Investment Trust PLC

TempletonEmerg.Mkt. - Net Asset Value(s)

RNS Number : 8399R
Templeton Emerging Markets IT PLC
02 July 2020
 
Templeton Emerging Markets Investment Trust PLC ("TEMIT")    
     
On behalf of TEMIT, Franklin Templeton International Services S.a.r.l. reports the unaudited cum-income net asset value ("NAV") of TEMIT as at    
 01 July 2020 was  £2121.619m, representing a NAV of 884.03 pence per share. 
The unaudited ex-income NAV of TEMIT as at 01 July 2020 was  £2084.946m, representing a NAV of 868.75 pence per share.
     
In accordance with the Association of Investment Companies recommendations, the cum-income NAV has been calculated based on the total value of underlying assets,    
including accumulated or accrued income, and using bid price information relating to the underlying assets.    
The ex-income NAV has been calculated based on the total value of underlying assets, excluding these income elements, and using bid price information relating to the underlying assets.    
     
The NAV of TEMIT is calculated daily at US close of markets using the latest available closing bid prices in each market of investment. However, where appropriate,    
these prices are adjusted to a fair value basis having regard to a range of market triggers and proxies.    
     
For information purposes only, if fair value at yesterday's US close had not been applied,    
The unadjusted cum-income NAV would have been,  £2112.998m, representing a NAV of 880.44 pence per share.  
and the unadjusted ex-income NAV would have been,   £2076.326m, representing a NAV of 865.16 pence per share.  
Portfolio data for TEMIT can be found on the website www.TEMIT.co.uk.    
     
If debt were valued at its book value, the cum-income NAV would decrease by 1.00p   
     
For information please contact Client Dealer Services on freephone 0800 305 306.    

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.
 
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