Net Asset Value(s)
06 12월 2007 - 10:58PM
UK Regulatory
RNS Number:3580J
JZ Equity Partners PLC
06 December 2007
For Immediate Release
6th December 2007
NET ASSET VALUE ("NAV") STATEMENT
The NAV of JZ Equity Partners Plc shares as at 31st October 2007 was 190.5p per
Ordinary Share
Note: Unlisted investments are valued twice yearly as at 31st March and 30th
September. In this statement the values attributed to unlisted investments held
at 31st October are unchanged from the values attributed to them at 30th
September 2007.
This information is provided by RNS
The company news service from the London Stock Exchange
END
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