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Net Asset Value(s)

9th Nov 2015 07:00

CRYSTAL AMBER FUND LIMITED - Net Asset Value(s)

CRYSTAL AMBER FUND LIMITED - Net Asset Value(s)

PR Newswire

London, November 6

9 November 2015 

CRYSTAL AMBER FUND LIMITED

(“Crystal Amber Fund” or the “Fund”)

Monthly Net Asset Value

Crystal Amber Fund announces that its unaudited net asset value (“NAV”) per share on 31 October 2015 was 165.91p (30 September 2015: 165.59p per share). 

The proportion of the Fund’s NAV at 31 October 2015 represented by the ten largest holdings, other investments and cash (including accruals), was as follows:

Top ten holdingsPence per sharePercentage of investee equity held
Grainger plc38.13.4%
Leaf Clean Energy Co.14.529.9%
Hurricane Exploration plc14.214.4%
STV Group plc12.16.7%
Dart Group plc11.61.5%
Coats Group plc10.72.4%
Pinewood Group plc10.64.1%
Sutton Harbour Holdings plc9.129.3%
Balfour Beatty plc5.40.3%
Tribal Group plc5.46.4%
Total of ten largest holdings131.7
Other investments23.5
Cash and accruals10.7
Total NAV165.9

For further enquiries please contact:

Crystal Amber Fund Limited

William Collins (Chairman)

Tel: 01481 716 000

Sanlam Securities UK Limited - Nominated Adviser

David Worlidge/James Thomas

Tel: 020 7628 2200

Numis Securities Limited - Broker

Nathan Brown/Hugh Jonathan

Tel: 020 7260 1426

Crystal Amber Advisers (UK) LLP – Investment Adviser

Richard Bernstein

Tel: 020 7478 9080


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Crystal Amber
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