Net Asset Value(s)
05 11월 2009 - 8:05PM
UK Regulatory
TIDMPEJR
RNS Number : 0264C
Prospect Epicure J-REIT Val Fd PLC
05 November 2009
05 November 2009
Prospect Epicure J-REIT Value Fund PLC (Ticker PEJR)
Further to the statement made by the Company on 24th July 2009, the Company is
now operating as a realisation fund and the Net Asset Value includes an estimate
of liquidation costs and a provision for fees and expenses expected to be
incurred in realising the assets.
The Board of Prospect Epicure J-REIT Value Fund PLC ("the Fund") announces that
the unaudited, undiluted net asset value per share on 31 October 2009 was 6.86
pence.
The Company's consolidated net assets of GBP8,982,959 include cash balances (net
of the above-mentioned provisions but including dividends receivable) of
GBP2,286,036 (equivalent to 1.75p per share) and investments of GBP6,696,923
equivalent to 5.11p per share.
All investments have been valued at closing trade price on 30 October 2009.
Contact:
+------------------------------------+------------------------------------+
| Leonard O'Brien, Director | +41 (22) 908 1190 |
+------------------------------------+------------------------------------+
| Prospect Epicure J-REIT Value Fund | |
| PLC | |
+------------------------------------+------------------------------------+
| | |
+------------------------------------+------------------------------------+
| Curtis Freeze | +1 808 396 7077 |
+------------------------------------+------------------------------------+
| Prospect Asset Management, Inc | |
+------------------------------------+------------------------------------+
| | |
+------------------------------------+------------------------------------+
| Ian Dungate / Suzanne Jones | + 44 (0) 1624 692600 |
+------------------------------------+------------------------------------+
| Galileo Fund Services Limited | |
+------------------------------------+------------------------------------+
END
This information is provided by RNS
The company news service from the London Stock Exchange
END
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