Net Asset Value(s)

LONDON--()--

Net Asset Value(s)

World Trust Fund announces that its unaudited Net Asset Value (NAV) per share in US Dollars, based on the closing prices of 08/17/2015 was $ 4.562 (Sterling equivalent rate being £ 2.927).

The NAV was calculated inclusive of current period income


Listing Category: Premium - Equity Closed-ended Investment Funds

Short Name: World Trust Fund
Category Code: NAV
Sequence Number: 480057
Time of Receipt (offset from UTC): 20150818T115018+0100

Contacts

World Trust Fund

Contacts

World Trust Fund