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Factsheets

The net asset value (NAV) per share at 28 February was 1,850 pence. The year to date NAV total return was +0.6% and the share price total return was -1.6%. Over the same period, the Company’s two indices; RPI plus 3% and MSCI All Country World Index (50% Sterling) were up +1.1% and down -0.2% respectively. The share price closed at 1,930 pence per share.  

Performance YTD 1 year 3 years 5 years 10 years
NAV per share total return  0.6%  5.3% 26.9% 54.7%  92.8%
Share price total return -1.6%  3.8% 33.9% 81.1% 101.4%
RPI plus 3.0% per annum  1.1%  6.6% 18.1% 29.8%  75.4%
MSCI All Country World Index (50% £)  -0.2% 11.0% 34.3% 74.9% 119.1%

 

Key Details as at 28 February 2018
Net assets £2,875m
NAV per share (Diluted) 1,850p
Share price 1,930p
Premium +4.3%
Ongoing Charges Figure* 0.66%
Gearing 8.9%
Shares in issue 155,351,431
Financial year end 31 December 2018
Next dividend payment date 30 April 2018
Dividend to be paid 16.5p per share

* As at 31 December 2017.  RIT's own OCF, excluding costs incurred in externally managed funds.

 

Currency Exposure ** (% of NAV)
Sterling 49%
US Dollar 33%
Euro 5%
Chinese Renminbi 4%
Japanese Yen 3%
Swiss Franc 2%
Other 4%

** Excluding currency options



All sources RIT Capital Partners plc unless otherwise stated. The price of shares and the income from them may go down as well as up. Past performance is no indication of future performance. Under no circumstances should this information be considered as an offer, or solicitation, to deal in investments.