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Net Asset Value(s) - Replacement

Date: Tuesday 31 Jul 2012








RNS Number : 9853I
Alcentra European Fltng Rate Inc Fd
31 July 2012
 





Replacement - Net Asset Value(s)


 


Alcentra European Floating Rate Income Fund Limited


 


The following amendment has been made to the Alcentra European Floating Rate Income Fund Limited announcement released on 19 July 2012 at 18:00 under RNS No 0893I.


 


The NAV was stated at GBP 1.0047XD.  The correct NAV should be GBP 1.0047 to reflect that the NAV was announced without accounting for the dividend following the shares being marked ex dividend.


 


All other details in the text of the announcement remain unchanged.


 


The full amended text is shown below.


 


 


Net Asset Value Per Share


 


As at 18 July 2012, the unaudited, estimated net asset value per share of Alcentra European Floating Rate Income Fund Limited is GBP 1.0047


 


 


 


 


Enquiries: 


 


Madiha Loveless


BNP Paribas Fund Services (Guernsey) Limited


Tel: 01481 750851


 




This information is provided by RNS
The company news service from the London Stock Exchange
 
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