Juridica Investments 2017 interim results
30 June 2017 net asset value ("NAV") per ordinary share is US$0.2589, an increase of 0.48 cents from 31 December 2016 NAV per ordinary share due to a total comprehensive gain of US$526,000.
Total comprehensive gain of US$526,000, primarily attributable to net realised and unrealised gain totalling US$1.9 million less operating and other expenses of US$1.4 million.
Interim dividend declared of 8p per share payable on 29 September 2017.