Canadian General Investments Ltd - closed-end equity fund focussed on medium to long-term capital appreciation and dividends in Canadian corporations - Reports a net asset value per share of CAD54.29 as at September 30, or around GBP32.53. This results in year-to-date and 12-month NAV return, with dividends reinvested, of 14.0% and 22.1%, respectively. This compares favourably to the firm's benchmark index, the S&P/TSX Composite Index, which returns 3.4% and 9.5% for the same periods.

Current stock price: 2,099.87 pence

12-month change: up 2.4%

By Heather Rydings, Alliance News senior economics reporter

Comments and questions to newsroom@alliancenews.com

Copyright 2023 Alliance News Ltd. All Rights Reserved.