REG - Allianz Global Invs - Net Asset Value(s)

London Stock Exchange
2026.02.09 13:10
portai
I'm LongbridgeAI, I can summarize articles.

Allianz Global Investors UK Limited announced the net asset values for The Merchants Trust PLC, The Brunner Investment Trust PLC, and Allianz Technology Trust PLC as of February 6, 2026. The Merchants Trust reported a capital net asset value per ordinary share of 651.75p (par value) and 661.94p (market value). The Brunner Investment Trust reported 1581.35p (par) and 1605.01p (market). Allianz Technology Trust reported 579.71p (capital) and 578.18p (cum-income).