{"success":true,"data":{"pressRelease":{"id":"81930","rtpr_id":"nPRr76087a","ticker":"GOT","exchange":"LSE","all_tickers":["GOT"],"title":"REG-Global Opportunities Trust Plc: Net Asset Value(s)","author":"PR Newswire","published_at":"2026-07-07T11:37:55.175Z","article_body":"Date: 07 July 2026                                                                 \n                                                                                    \n Global Opportunities Trust plc (the \"Company\")                                     \n                                                                                    \n LEI: 2138005T5CT5ITZ7ZX58                                                          \n                                                                                    \n Net Asset Values                                                                   \n                                                                                    \n Global Opportunities Trust plc announces that the unaudited net asset values       \n (NAVs) of the Company as at the close of business on 06 July 2026 are as follows:  \n                                                                                    \n 399.18 pence per share (including income)                                          \n 395.21 pence per share (excluding income)                                          \n                                                                                    \n                                                                                    \n For further information, please contact:                                           \n                                                                                    \n Juniper Partners Limited                                                           \n Company Secretary                                                                  \n 0131 378 0500                                                                      \n\n \n\n\n\nCopyright (c) 2026 PR Newswire Association,LLC. All Rights Reserved.","article_body_html":"","raw_payload":{"data":{"id":"nPRr76087a","title":"REG-Global Opportunities Trust Plc: Net Asset Value(s)","author":"PR Newswire","ticker":"GOT","created":"2026-07-07T11:37:55.175Z","tickers":["GOT"],"exchange":"LSE","article_body":"Date: 07 July 2026                                                                 \n                                                                                    \n Global Opportunities Trust plc (the \"Company\")                                     \n                                                                                    \n LEI: 2138005T5CT5ITZ7ZX58                                                          \n                                                                                    \n Net Asset Values                                                                   \n                                                                                    \n Global Opportunities Trust plc announces that the unaudited net asset values       \n (NAVs) of the Company as at the close of business on 06 July 2026 are as follows:  \n                                                                                    \n 399.18 pence per share (including income)                                          \n 395.21 pence per share (excluding income)                                          \n                                                                                    \n                                                                                    \n For further information, please contact:                                           \n                                                                                    \n Juniper Partners Limited                                                           \n Company Secretary                                                                  \n 0131 378 0500                                                                      \n\n \n\n\n\nCopyright (c) 2026 PR Newswire Association,LLC. All Rights Reserved."},"type":"article","timestamp":"2026-07-07T11:37:55.228560504Z","server_sent_at_ms":1783424275228},"received_at":"2026-07-07T11:37:55.296Z","source_url":null},"analysis":{"id":"71041","press_release_id":"81930","analysis_json":{"industry":{"label":"Capital Markets","sector":"Financials"},"redFlags":[],"eventType":"other","narrative":"Global Opportunities Trust plc reported unaudited net asset values as of July 6, 2026.\n\nThe NAV including income stands at 399.18 pence per share, while the NAV excluding income is 395.21 pence per share.\n\nThis is a standard periodic disclosure for the investment trust with no accompanying strategic or operational updates.","sentiment":"neutral","agentHooks":{"shouldPost":false,"suggestedAngle":"Routine NAV update for GOT; no material price movement or strategic news."},"keyFigures":{"customDimensions":{"nav_excluding_income_pence":395.21,"nav_including_income_pence":399.18}},"quotedText":"Global Opportunities Trust plc announces that the unaudited net asset values (NAVs) of the Company as at the close of business on 06 July 2026 are as follows","namedEntities":{"people":[],"products":[],"companies":[{"name":"Global Opportunities Trust plc","ticker":"GOT"},{"name":"Juniper Partners Limited","relationship":"company secretary"}],"dollarAmounts":[]},"materialImpact":{"score":1,"reasoning":"Routine weekly NAV announcement for a closed-end investment trust. No material change in strategy, portfolio, or corporate structure disclosed."},"tickerRelevance":{"others":[],"primary":"GOT"},"globalImportance":5,"audienceRelevance":10,"eventTypeSecondary":[],"importanceComponents":{"tickerTier":"small-cap","eventGravity":"routine-disclosure","sectorWeight":"financials","marketCapAdjustment":"low"}},"event_type":"other","event_type_secondary":null,"sentiment":"neutral","material_impact_score":1,"narrative":"Global Opportunities Trust plc reported unaudited net asset values as of July 6, 2026.\n\nThe NAV including income stands at 399.18 pence per share, while the NAV excluding income is 395.21 pence per share.\n\nThis is a standard periodic disclosure for the investment trust with no accompanying strategic or operational updates.","key_figures":{"customDimensions":{"nav_excluding_income_pence":395.21,"nav_including_income_pence":399.18}},"named_entities":{"people":[],"products":[],"companies":[{"name":"Global Opportunities Trust plc","ticker":"GOT"},{"name":"Juniper Partners Limited","relationship":"company secretary"}],"dollarAmounts":[]},"model_name":"qwen3_6_27b_awq","prompt_hash":"sha256:727b4b9429a443af","schema_hash":"sha256:05005c02d9cffac9","created_at":"2026-07-07T15:24:29.584Z","global_importance":5,"audience_relevance":10,"importance_components":{"tickerTier":"small-cap","eventGravity":"routine-disclosure","sectorWeight":"financials","marketCapAdjustment":"low"}},"durationMs":37629,"modelName":"george-droid-qwen-72b"}}