Correction : Net Asset Value(s)

The net asset value announcement as at 23 August 2013 under reference number PRNUK - 2708131636-567B was incorrect. The unaudited consolidated net asset value of the Ordinary shares with debentures at fair value was 211.52p not 195.53p. The corrected announcement is below. MAJEDIE INVESTMENTS PLC The unaudited consolidated net asset value of the Ordinary shares of the Company at the close of business on 23 August 2013 was as follows: With debentures at par value: 230.08 pence per share With debentures at fair value: 211.52 pence per share The net asset value published is on a cum-income basis (calculated using income and expenditure estimates). Additionally the fair value of the debentures has been estimated by reference to the redemption yields of a similar company’s debt instrument, with an appropriate margin spread added. 29 August 2013
UK 100

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