Axiom European Financial Debt Fund Limited
(the "Company")
Net Asset Value - Correction
The Company's net asset value announcement released at 7am on 20 April 2016 (RNS 7073V) should have read that the NAV was 91.59 pence, not 90.74 pence, as originally stated. All other details remain unchanged and the announcement should have read as follows:
"Fund name: |
Axiom European Financial Debt Fund Limited |
NAV Date: |
15 April 2016 |
NAV: |
91.59 pence |
ISIN: |
GG00BTC2K735 |
Sedol: |
BTCK73 GB |
Incorporated in Guernsey, with registration number 61003." |
For further information please visit www.axiom-ai.com.
Enquiries to:
|
Elysium Fund Management Limited axiom@elysiumfundman.com tel: +44 1481 810 100 |