NAV Misstatement

RNS Number : 2652R
Hansa Investment Company Limited
04 July 2022
 

HANSA INVESTMENT COMPANY LIMITED

NAV Misstatement

The Company wishes to inform Shareholders and the market that, due to an administrative error, the estimated unaudited Cum and Ex Income Net Asset Values for the Ordinary and 'A' Ordinary shares of Hansa Investment Company Limited was misstated between 6 June and 30 June 2022 (inclusive). During this period one investment was erroneously undervalued.

The Company is investigating the factors that led to this error with a view to ensuring that appropriate controls are implemented and/or are operating effectively such that such misstatements do not occur in the future.

The corrected Net Asset Values during this period are shown below.

Publication Date

NAV Date

Announced Price (NAV)

Amended Price (NAV)

07/06/2022

06/06/2022

305.30

310.53

08/06/2022

07/06/2022

305.09

310.32

09/06/2022

08/06/2022

304.97

310.25

10/06/2022

09/06/2022

304.82

310.05

13/06/2022

10/06/2022

302.31

307.47

14/06/2022

13/06/2022

298.52

303.63

15/06/2022

14/06/2022

297.05

302.12

16/06/2022

15/06/2022

298.72

303.86

17/06/2022

16/06/2022

295.45

300.58

20/06/2022

17/06/2022

297.57

302.48

21/06/2022

20/06/2022

294.84

299.82

22/06/2022

21/06/2022

294.16

299.15

23/06/2022

22/06/2022

292.56

297.56

24/06/2022

23/06/2022

291.72

296.71

27/06/2022

24/06/2022

293.78

298.79

28/06/2022

27/06/2022

296.97

302.12

29/06/2022

28/06/2022

297.39

302.57

30/06/2022

29/06/2022

296.00

301.19

 

The Net Asset Value announcement (0954R) will be individually replaced to reflect the correct Net Asset Values at the 30 June 2022 month end. 

Hansa Investment Company Limited LEI: 213800RS2PWJXS2QDF66

 

For and on behalf of the Board

Hansa Capital Partners LLP - Additional Administrative Service Provider to Hansa Investment Company Limited

 

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