Pershing Square Holdings, Ltd. publishes its net asset value and year-to-date yield as of March 29, 2022

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Pershing Square Holdings, Ltd. (LN:PSH) (LN:PSHD) (NA:PSH) today released its net asset value (‘NAV’) and yields on its website, https://pershingsquareholdings.com/company-reports/weekly- navs/.

Net asset value and returns were calculated as of the close of business on March 29, 2022.

NAV PSH per share at the close of business on March 29, 2022 has been $57.49 /£43.89 and year-to-date performance was 0.5%.

Performance is presented on a net of fee basis and reflects the deduction of, among other expenses, management fees, brokerage commissions, administrative costs and accrued performance fees, where applicable. The performance figure includes the reinvestment of all dividends, interest and capital gains. Depending on the timing of a specific investment, an individual investor’s net performance may differ from the net performance shown herein. Net performance is a geometrically related time-weighted calculation. Past performance is not necessarily indicative of future results. All investments involve risk, including loss of principal.

Pershing Square Holdings publishes this updated performance information as part of a Fixed Income Investor Update hosted by RBC Capital Markets.

On Pershing Square Holdings, Ltd.

Pershing Square Holdings, Ltd. (LN:PSH) (LN:PSHD) (NA:PSH) is an investment holding company structured as a closed-end fund.

Category: (PSH: weekly NAV)

Media

Camarco

Ed Gascoigne-Pees / Julia Tilley +44 (0)20 3781 8339, media-pershingsquareholdings@camarco.co.uk

(C) 2022 electronic news edition, source ENP Newswire

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