Geiger Counter Ltd Net Asset Value(s)
May 20 2024 - 9:25AM
RNS Regulatory News
RNS Number : 1445P
Geiger Counter Ltd
20 May 2024
GEIGER COUNTER LIMITED
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Date of Announcement:
20/05/2024
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Net
Asset Values per share as at: 17/05/2024
The unaudited net asset value (NAV)
of the company is noted below in pence per
share.
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NAV
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73.88
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Fully diluted NAV**
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73.88
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*The Net asset value has been
calculated to include the additional 12,314,071 Ordinary Shares
issued in respect of the Subscriptions Rights Exercise. A further
announcement will be made in respect of the Outstanding
Subscription Rights.
**The fully diluted NAV calculation
is done on the basis that the Company will raise a maximum of Euro
8 million from the Subscription Rights exercise.
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