TIDMDPE 
 
RNS Number : 7259M 
DP Property Europe Limited 
28 May 2010 
 

To:                   RNS 
From:               DP Property Europe Limited 
Headline:          NAV announcement 
Date:                28 May 2010 
 
 
DP Property Europe Limited announces unaudited NAVs for the Ordinary Shares as 
at 31 March 2010. 
 
NAV per Ordinary Share: GBP0.264 
 
Adjusted NAV excluding deferred tax liabilities: 
 
NAV per Ordinary Share: GBP0.267 
 
The NAV reported for the Ordinary Shares as at 31 March 2010 has remained 
relatively stable from the NAV reported as at 31 December 2009 (GBP0.259). The 
increase in NAV primarily results from the increase in strength of the Swedish 
Krona against the Euro and a small profit from the Company overall. The above 
NAV is based on the independent valuation as at 31 December 2009. 
 
All Enquiries: 
 
Nick Burnell, Managing Director / Marcus Davidson-Wright, Finance Director 
DP Property Europe Management Limited 020 7290 6320 / 020 7290 6321 
 
Tom Durie / Neil Langford 
Oriel Securities Limited 020 7710 7600 
 
 
 
This information is provided by RNS 
            The company news service from the London Stock Exchange 
   END 
 
 NAVPGUAPAUPUGUR 
 

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