31 March 2012 Net Asset Value (6193D)
18 5월 2012 - 3:00PM
UK Regulatory
TIDMH2O
RNS Number : 6193D
Aqua Resources Fund Limited
18 May 2012
18(th) May 2012
Aqua Resources Fund Limited Net Asset Value(s)
Valuation Date: 31(st) March 2012
Final NAV Per Share: EUR 1.02086
Further enquiries
FourWinds Capital Management, Investment Manager
Kimberly Tara, Chief Executive Officer
Valerie Daoud Henderson, Head of Europe Environment Group
Jui Kian Lim, Head of Asia Environment Group
info@fourwindscm.com
Cenkos Securities plc, Corporate Broker
Will Rogers +44 (0)20 7397 1920
Dion Di Miceli +44 (0)20 7397 1921
HSBC Securities Services (Guernsey) Limited, Administrator
Tel: +44 (0) 1481 707 000
CitigateDeweRogerson, PR Advisor
Kevin Smith / Lindsay Noton +44 207 638 9571
This information is provided by RNS
The company news service from the London Stock Exchange
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