Murray Income Trust PLC Provides Net Gearing Ratio Update
The investment company has disclosed its net gearing ratio as of a recent date.
The investment company has disclosed its net gearing ratio as of a recent date.
The investment trust has disclosed its net gearing ratio, a routine update for investors.
The investment trust has disclosed its net gearing ratio, a measure of its leverage.
The investment trust has disclosed its net gearing ratio, providing transparency on its leverage position.
The investment trust has disclosed its net gearing ratio, providing transparency on its financial position.
The investment company has disclosed its net gearing ratio as of March 14, 2025.
The investment trust has provided an update on its net gearing ratio as of early March 2025.
The investment trust has announced a non-executive director has purchased a small number of shares.
This investment trust reported underperformance against its benchmark, with a -2.1% NAV total return. Despite this, it maintained dividend growth and improved cost efficiency, while facing economic uncertainties.
The investment trust has disclosed its net gearing ratio as of the end of February 2025.