Net Asset Value(s)

The net asset value of Edinburgh Leveraged Income Trust plc as at the
close of business on 27 December 2002 are as follows:
(For Edinburgh Fund Managers plc, Company Secretary)

Undiluted nav (p): 0.00

Edinburgh Leveraged Income Trust

Related documents

 
 
 

Recent Releases

 
Social Media Pitch:
Net Asset Value(s)