Correction : Net Asset Value(s)

Please be advised that this replaces the announcement made yesterday at 16:06hrs. Yesterday's announcement contained the incorrect NAV date. 1st November should have read 3rd November. All else remains unchanged. Atlantis Japan Growth Fund Limited (Aclosed-ended investment company incorporated in Guernsey with registration number 30709) Fund Name NAV per share SEDOL NAV DATE (GBP) Atlantis Japan Growth 1.2565 B61ND55 (UK) 3rd November 2014 Fund Limited For information purposes the USD NAV 2.010 per share. USD/GBP FX Rate: 1.5997 Date: 3rd November 2014 Enquiries: Northern Trust International Fund Administration Services (Guernsey) Limited Andrew Maiden Tel: +44 (0) 1481 745368
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