Net Asset Value(s)
September 08 2005 - 10:45AM
UK Regulatory
The following Net Asset Values (NAVs) for Framlington Income & Capital Trust
PLC are released by Framlington Investment Management Limited as at 7 September
2005.
Capital shares - NAV per share (AITC basis) 218.74p
Income shares - NAV per share 31.31p
Total Fund Value (inc. revenue)
Framlington Income (LSE:FRNC)
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