29/04/2025 1:44:45 PM

Golden Prospect Precious Metals Ltd

Net Asset Value(s)

Provider: London Stock Exchange plc

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GOLDEN PROSPECT PRECIOUS METALS LIMITED

Date of Announcement: 29/04/2025

Net Asset Value per share as at: 28/04/2025

The unaudited net asset value (NAV) of the company is noted below in pence per share.

Pence per share

Golden Prospect Precious Metals Limited (TIDM: GPM): 65.21

 

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Net asset value as at 28.04.2025 of Golden Prospect Precious Metals Ltd

(TIDM: GPM):

NAV: 65.21 GBP

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Net asset value as at 28.04.2025 of Golden Prospect Precious Metals Ltd

Fully Diluted Net Asset Value Per Share

(TIDM: GPMs):

NAV: 62.34 GBP

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Subscription Exercise Price: 48.00 GBP

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