| 
    Chelverton UK Dividend Trust PLC 
    | 
   
      
    | 
   
      
    | 
  
| 
    The Company announces: 
    | 
  
| 
    Total Assets (including unaudited revenue reserves at 27/05/2021) of £65.65m 
    | 
  
| 
    Net Assets (including unaudited revenue reserves at 27/05/2021) of £49.07m 
    | 
  
| 
      
    | 
  
| 
    The Net Asset Value (NAV) at 27/05/2021 was: 
    | 
  
| 
      
    | 
   
      
    | 
   
    Number of shares in issue: 
    | 
  
| 
    Per Ordinary share (bid price) - including unaudited current period revenue*  
    | 
   
    235.33p 
    | 
   
    20,850,000.00 
    | 
  
| 
    Per Ordinary share (bid price) - excluding current period revenue*   
    | 
   
    235.33p 
    | 
   
      
    | 
  
| 
    Ordinary share price  
    | 
   
    227.50p 
    | 
   
      
    | 
  
| 
    Premium / (Discount) to NAV  
    | 
   
    (3.33)% 
    | 
   
      
    | 
  
| 
    Ordinary shares have an undated life 
    | 
   
      
    | 
   
      
    | 
  
| 
      
    | 
   
      
    | 
   
      
    | 
  
| 
    ZDP share  
    | 
   
    114.34p 
    | 
   
    14,500,000.00 
    | 
  
| 
    ZDP share price 
    | 
   
    116.00p 
    | 
   
      
    | 
  
| 
    Premium to NAV 
    | 
   
    1.45% 
    | 
   
      
    | 
  
| 
    ZDP shares are held in a subsidiary and have a redemption date of 30/04/2025 
    | 
  
| 
      
    | 
   
      
    | 
   
      
    | 
  
| 
    *Current period undistributed revenue covers the period 01/05 to 27/05/2021 
    |