CLOSED-END FUNDS
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Gabelli Value Plus+ Trust Plc

Fund Overview for Gabelli Value Plus+ Trust Plc

Objective

The Gabelli Value Plus+ Trust Plc. was incorporated in England and Wales on 18 December 2014 with registered number 9361576 as a public company limited by shares under the Companies Act. The principle legislation under which the company operates is the Companies Act. The Company’s investment objective is to seek capital appreciation by investing predominantly in equity securities of U.S. Companies.



GAMCO's non-U.S. affiliate GAMCO Asset Management (UK) Limited provides products and services designed specifically for overseas investors. GAMCO does not offer these products or services outside their intended countries or regions, and purchase orders from U.S. investors will not be accepted, subject to limited exceptions.

The information available through accessing GAMCO Asset Management (UK) Limited has been prepared and is maintained by non-U.S. affiliates of GAMCO Investors, Inc. Access to this material by U.S. residents is for informational purposes only and should not be construed as an offer to sell, a solicitation of an offer to buy, or a recommendation for any security under U.S. law. All content contained therein should be considered, and is subject to, the specific regulatory requirements under which GAMCO Asset Management (UK) Limited operates.

To reach the web site of a non-U.S. affiliate of GAMCO Investors, Inc., please click here.
  Gabelli Value Plus+ Trust Plc


Fund Structure:   Closed End
Investment Style:   Value
Inception:   February 19, 2015
 
 
Portfolio Manager

 


Investors should carefully consider the investment objectives, risks, charges, and expenses of the Fund before investing. You can obtain more information about the Fund at www.gabelli.co.uk/investment_trusts/valueplus The Fund’s net asset value (“NAV”) per share will fluctuate with changes in the market value of the Fund’s portfolio securities. Stocks are subject to market, economic, and business risks that cause their prices to fluctuate. Investors acquire shares of the Fund on a securities exchange at market value, which fluctuates according to the dynamics of supply and demand.