The following replaces the Net Asset Value as at the close of business on 27 June 2008 for the undernoted Investment Trust announced on 1 July 2008 under
RNS number 0664Y
To: RNS
From: City Natural Resources High Yield Trust plc
Date: 1 July 2008
Net Asset Value - AMENDMENT
The unaudited net asset value (NAV) of the Company is noted below in pence per share. NAVs are calculated in accordance with stated policies of individual trusts. Applicable accounting standards and AIC recommendations are followed.
The unaudited NAVs per ordinary share as at the close of business on 27 June 2008 were:
|
Pence per Share Cum Ex Income Income |
Fully diluted |
220.79 220.19 |
Basic |
229.36 228.74 |
The unaudited NAVs on an ex-income basis, for the rest of the month of June 2008 and 30 May 2008 (not previously released) were as follows:
|
Pence per share Fully diluted Basic |
|
30/05/08 |
231.79 |
241.08 |
04/06/08 |
228.61 |
237.70 |
06/06/08 |
229.46 |
238.60 |
11/06/08 |
225.53 |
234.42 |
13/06/08 |
220.99 |
229.60 |
18/06/08 |
222.90 |
231.63 |
20/06/08 |
219.14 |
227.63 |
25/06/08 |
219.45 |
227.96 |
For further information please contact:
Martin A Cassels
F&C Investment Business Ltd
0207 628 8000