Net Asset Value(s)
18 3월 2011 - 10:41PM
UK Regulatory
TIDMGIR
GARTMORE IRISH GROWTH FUND PLC
The Company announces that the Net Asset Value as at 17 March 2011 was:
Including current period revenue 773.42p per Ordinary Share (current period
revenue is updated monthly)
As at 17 March 2011, the Company's estimated Net Assets include net cash and
cash equivalents of approximately GBP31.5m or 64.60% of estimated Net Assets.
18 March 2011
END
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