Trust Update Video

Brunner Investment Trust reports 13.2% rise in 2019 NAV and again ups its dividend

Lucy MacdonaldCIO, UK Equities

Proactive London's Andrew Scott runs through Brunner’s 2019 numbers. BUT posted a 13.2% rise in net asset value (NAV) in the year to 945.8p and increased the dividend by 10.1% to 19.98p, which was fully covered by earnings of 21.7p.

© Allianz Global Investors GmbH 2021, Registered Office: Frankfurt am Main, Register: HRB 9340, Local court: Frankfurt am Main. All Rights Reserved. The Brunner Investment Trust PLC is incorporated in England and Wales. (Company registration no. 226323). Registered Office: 199 Bishopsgate, London, EC2M 3TY. VAT registration no. 244 7355 54. The Company is a member of the Association of Investment Companies - Category: Global Growth.