To: RNS
From: New City High Yield Fund Limited
Date: 9 September 2008
Net Asset Value Announcement
Net Asset Values per share as at close of business on 08/09/2008
The unaudited net asset values (NAVs) of the Company are noted below (where applicable) in pence per share. NAVs are calculated in accordance with stated policies. Applicable accounting standards and AIC recommendations are followed.
Pence per Pence per
share share
Cum Income Ex Income
New City High Yield Fund Ltd 49.35 48.60
New City High Yield Fund Limited has revalued its holding in FibreGen Plc's Convertible bond, which has been suspended since 18 July 2008, to reflect the prospects for a recovery of this investment, It is now being priced at 20p per unit rather than the previous price of 107.5p per unit. The impact of this revaluation is to reduce the NAV of New City High Yield Fund Limited by 1.51p per ordinary share which has been reflected in the NAVs above. The investment manager is working to ensure that the Company's interests are protected.
Please ensure that announcement includes date of valuation.