Share Price*
as at 09/12/2019
Warrant Price*
as at 09/12/2019
Latest NAV
as at 04/12/2019
Ex-dividend NAV (after deducting 1.99cps dividend payable)
*updated every 20 minutes


To receive our monthly NAV and the latest portfolio news via email, please complete the below form:

Follow this link if the form fails to load. online form.