- Title:
Net Asset Value/Credit Facili - Time:
17:00:00 - Date:
13 Jan 2011 - Category:
Results - ID:
4537Z
Released : 13/01/2011 17:00
13 January 2011
Net Asset Value
The unaudited net asset value of RIT Capital Partners plc as at 31 December 2010 was 1274.5p per £1 ordinary share.
Credit Facility
On 6 January 2011, RIT Capital Partners plc drew down US$400 million under a new, three year credit facility with National Australia Bank Limited.
Net Asset Value/Credit Facili17:00:0013 Jan 2011Results4537Z