on New Star Investment Trust PLC (isin : GB0002631041)
New Star Investment Trust PLC Reports Latest Net Asset Values
On November 12, 2025, New Star Investment Trust PLC announced its unaudited Net Asset Values (NAV) per Ordinary Share as of October 31, 2025. Managed by Brompton Asset Management Limited, the investment trust reported a NAV per share, cum income, of 186.86 pence. Meanwhile, the NAV per share, ex income, stood at 181.70 pence. These figures were calculated based on bid prices.
The announcement was disseminated by EQS Group, with Apex Fund Administration Services (UK) Limited serving as the corporate secretary. This information follows the standard regulatory protocol required for publicly traded investment trusts. New Star Investment Trust operates under the LEI code 213800RT2OZF83G5N590.
R. H.
Copyright © 2025 FinanzWire, all reproduction and representation rights reserved.
Disclaimer: although drawn from the best sources, the information and analyzes disseminated by FinanzWire are provided for informational purposes only and in no way constitute an incentive to take a position on the financial markets.
Click here to consult the press release on which this article is based
See all New Star Investment Trust PLC news