
REG - City of London IT - Net Asset Value(s)

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As of January 30, 2026, the City of London Investment Trust PLC reported an unaudited net asset value (NAV) per share of 534.0p, with a fair value NAV of 539.5p after accounting for debt. The NAV includes current financial year revenue items and reflects the company's estimates based on market conditions. The company’s senior secured notes' fair value is determined using a discount rate influenced by UK Gilt yields and credit spreads. For further inquiries, contact Janus Henderson Secretarial Services.
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