Net Asset Value(s)
July 11 2008 - 10:35AM
UK Regulatory
RNS Number : 9220Y
New Star Absolute Return Fund PCC
11 July 2008
New Star Absolute Return Fund PCC Limited
11th July 2008
The Directors of New Star Absolute Return Fund PCC Limited would like to announce that the Company's Net Asset Value per share was as
follows as at 4th July 2008:-
NAV per Share Treasury NAV per Share
Income shares 105.89p 104.95p
Growth shares 114.01p 113.47p
The treasury NAV per Share assumes that the Shares held in treasury are sold at their bid prices.
The above net asset values per share are based on an assumption that the Company meets a performance fee trigger of the net asset values
per share (including dividends paid) of 112.41 as at 31st December 2008. As at the 4th July 2008 the trigger had been met.
Further information on the performance fee trigger is set out in the Company's AIM admission document dated 26 July 2006.
Enquiries :
HSBC Securities Services (Guernsey) Limited
Alison J Bilham
Phone + 44 (0) 1481 707213
This information is provided by RNS
The company news service from the London Stock Exchange
END
NAVZFLFFVDBBBBE
Newstar AB Inc (LSE:NSAI)
Historical Stock Chart
From Oct 2024 to Nov 2024
Newstar AB Inc (LSE:NSAI)
Historical Stock Chart
From Nov 2023 to Nov 2024