Net Asset Value(s)

RNS Number : 1430P
FRM Credit Alpha Limited
19 October 2012
 



FRM Credit Alpha Limited

Final NAV 30 September 2012

 

FINAL MONTHLY NAV

 

 

FRM Credit Alpha Limited (the "Company")

 

Final Net Asset Value GBP Shares as at 30 September 2012.

The final net asset value per GBP share as at the close of business 30 September 2012 was 80.6 pence.

This valuation, which has been prepared in good faith by the Company's Administrator, is based principally on formal valuations supplied to the Company by the administrators of the Company's underlying investments.  Such valuations or estimates are unaudited and may not comply with generally accepted accounting or valuation principles.

Sedol: B4K46K1

ISIN:   GG00B4K46K11

 

 


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