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Net Asset Value at 30 September 2011

6th Dec 2011 16:40

RNS Number : 4740T
Rapid Realisations Fund Limited
06 December 2011
 



 

6th December 2011

 

RAPID REALISATIONS FUND LIMITED

("THE COMPANY")

NET ASSET VALUE AT 30 SEPTEMBER 2011

Rapid Realisations Fund Limited, the closed-ended investment company which floated on AIM on 2nd August 2007, today reports that its Net Asset Value ("NAV") as at 30th September 2011 was £17,615,295.27.

The Company has 57,701,445 shares in issue which has resulted in an NAV per share at 30th September 2011 of 30.53p. Adjusting for the return of capital in July 2011 of 6.5p per share, this equates to a reduction of 9.22% on the 30th June 2011 NAV per share of 40.79p.

Enquiries: 

Rapid Realisations Fund Limited

Rhys Davies

+41796200215

Grant Thornton Corporate Finance 

Philip Secrett / David Hignell

+44 (0)20 7383 5100

 

Note

http://www.rapidrealisations.com

 

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