Net Asset Value(s)

RNS Number : 2776Q
Caledonia Investments PLC
07 April 2009
 





Caledonia Investments plc


Unaudited net asset value per share at 31 March 2009



Caledonia Investments plc ('Caledonia' or 'the company') announces that its unaudited diluted net asset value ('NAV') per ordinary share as at 31 March 2009, calculated on a cum-income basis, was 1559p, before the deduction of a final dividend to be proposed by the directors in relation to the year then ended.


The reported NAV per share incorporates a revaluation of all investments in the portfolio. In the case of each unquoted equity fund investment, in view of the recent volatility in equity markets, the company has applied an index-based adjustment to reflect relevant market movements between the date of the latest valuation reported by each fund's manager and 31 March 2009.


The monthly reported NAV per ordinary share, together with performance statistics and information on the valuation of principal investments, is available on Caledonia's website at www.caledonia.com.


07 April 2009



Enquiries

Caledonia Investments plc

College Hill Associates

Tim Ingram

Tony Friend

Jonathan Cartwright

Roddy Watt

Tel: 020 7802 8080

Tel: 020 7457 2020





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