UK Mortgages Ltd Net Asset Value(s)
19 January 2022 - 1:59AM
UK Regulatory
TIDMUKML
UK MORTGAGES LIMITED
(a closed-ended investment company incorporated in Guernsey with registration
number 60440)
LEI 549300388LT7VTHCIT59
Final Net Asset Value
FUND NAME NAV ISIN NAV DATE
UK Mortgages Limited £0.7894 GG00BXDZMK63 30 November 2021
UKML RNS: Commentary accompanying UK Mortgages Limited November 2021 NAV
The UKML NAV per share was calculated for November 2021 month end at 78.94
pence per share, an increase of 0.59 pence per share.
The primary driver of the monthly NAV performance in November came from the
ongoing positive running income being generated by the Company's underlying
investments.
As was indicated in the October NAV commentary, November saw a flattening of
the increases in swap rates witnessed during the preceding few months; thereby
enhancing income. This flattening re-established the more regular monthly
pull-to-par of the portfolios to a level more in line with longer-term
expectations. Notably though, even without the increased pull-to-par effect
experienced in the past couple of months, the income generated by the Company's
investments once again continued to significantly outweigh the 0.42 pence per
share required to cover the monthly equivalent of the dividend.
The Company's investments continue to perform in line with expectations, and
further details will be available in the Company's next factsheet.
Enquiries:
Northern Trust International Fund Administration Services (Guernsey) Limited
Andrew Bonham 44 (0)1481 745302
Date: 18 January 2022
END
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