Finsbury Growth & Income Trust PLC has released its estimated unaudited net asset value per share, in accordance with the guidelines of the Association of Investment Companies, as of the close of business on February 16, 2024. The net asset value stands at 922.29p (cum income). This announcement was made on behalf of the Board by Frostrow Capital LLP, the Secretary, on February 19, 2024.

This report provides investors and stakeholders with a snapshot of the company's financial health and performance at the specified date. It offers transparency and insight into the value of the company's assets per share, which is a key indicator for investors assessing the company's investment potential.

The release of the net asset value per share demonstrates the company's commitment to transparency and adherence to industry guidelines. This information is crucial for investors and analysts to make informed decisions regarding their investment in Finsbury Growth & Income Trust PLC. It also reflects the company's dedication to providing regular updates to its shareholders and the investment community.

The net asset value per share is a fundamental metric for investment trusts, and it serves as a key performance indicator for the company. This figure represents the estimated value of the company's assets per share, providing investors with valuable insights into the financial health and overall performance of Finsbury Growth & Income Trust PLC.

This announcement underscores the company's commitment to maintaining open communication with its stakeholders and providing them with timely and relevant financial information. It also reflects the company's adherence to industry best practices and standards, reinforcing trust and confidence among investors and the broader financial community.