The Board of Schroder UK Growth Fund plc announces that the unaudited net asset value per share is as follows
Date |
NAV |
Pence |
Thursday 16 February |
Excluding Income |
137.56 |
Thursday 16 February |
Cum Income |
138.33 |
Thursday 16 February |
*Diluted Cum Income |
137.25 |
The above disclosure on NAV categorisation is as per the AIC guidance note "NAVs published via Regulatory Information Service (RIS) Platforms" issued 3 July 2007.
*The Company's subscription shares may, but not necessarily will, dilute Net Asset Value. Where no dilution of Net Asset Value takes place the value box on this line will indicate "Not Applicable".
Enquiries:
Schroder Asia Pacific Fund plc
Schroder Investment Management Limited
Head of Fund Administration
Ian Bransbury: 0207 658 5165