
REG - Janus Henderson NAV - Net Asset Value(s)

Janus Henderson Fund Management UK Limited announced the unaudited net asset values (NAV) for several trusts as of 21 August 2025. The NAV per ordinary share for Henderson European Trust was 216.2p (including revenue) and 212.7p (excluding revenue). Lowland Investment Company reported 161.9p (including revenue) and 158.8p (excluding revenue). The North American Income Trust's NAV was 371.6p (including revenue) and 367.8p (excluding revenue). The Bankers Investment Trust showed 133.0p (including revenue) and 132.3p (excluding revenue). Henderson High Income Trust's NAV was 199.2p (including revenue) and 196.3p (excluding revenue).
Due to copyright restrictions, please log in to view.
Thank you for supporting legitimate content.

