VSL seeks to generate an attractive total return for shareholders of consistent distributable income and capital growth through asset-backed lending.
February Performance Table
94.24 GBp NAV (Cum Income) Per Share
|Monthly NAV (Cum Income) Return:||0.08%||Trailing Twelve Month Dividend:||8.00p|
|YTD NAV (Cum Income) Return:||0.97%||Trailing Twelve Month Dividend Yield:||10.39%|
|ITD NAV (Cum Income) Return:||28.39%||Next Dividend Declaration:||May 2020|
Share Price Table
The information in this section of the Site is made available to and is directed solely at: (i) persons having professional experience in matters relating to investments, i.e. investment professionals within the meaning of Article 19(5) of the Financial Services and Markets Act 2000 (Financial Promotion) Order 2005, as amended (the “FPO“); (ii) high net worth companies, unincorporated associations and other bodies within the meaning of Article 49(2)(a) – (d) of the FPO; and (iii) other persons to whom it is otherwise lawful to make this information available.
Persons falling within categories (i), (ii) and (iii) above may click on “Confirm” below to gain access to this section of the Site. By clicking “Confirm” you represent, warrant and undertake that you fall within one of the above categories of persons entitled to have access to the information in this section of the Site and you will keep this information confidential and not disclose it to anyone else.
Persons that do not fall within categories (i), (ii) and (iii) above do not have permission to view the information in this section of the Site and must click on “Exit” below to return to the Documents page.