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Share Price 15min delayed
171.00p 

Net Asset Value as at 03 February 2012
NAV with debt at par value 225.23p
NAV with debt at fair value210.42p
Share Price 168.00p
Discount on par value NAV25.4%
Discount on fair value NAV20.2%

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    

    
The above net asset values include Majedie Asset Management Ltd at fair value and are calculated on a cum-income basis (using estimated income and expenditure figures)

 2011 Half-Yearly Financial Report 
 2011 Report & Accounts 

    

    

    

    

    

    

© Majedie Investments PLC 2010
Important Legal Information

Majedie Investments PLC is a investment trust with total assets under management of approximately £140 million.

Our Objective is to maximise total shareholder return whilst increasing dividends by more than the rate of inflation over the long term.


IMPORTANT NOTICE
Majedie Investments PLC does not offer any investment products or services to the public and manages its investments on behalf of its shareholders.  If you receive any communication containing investment offers by Majedie Investments PLC please be notified that it is a scam and you should report the matter to the relevant authorities.