Net Asset Values

RNS Number : 4698T
Crystal Amber Fund Limited
07 December 2011
 



                                                                                                            7 December 2011

CRYSTAL AMBER FUND LIMITED

("Crystal Amber Fund" or the "Fund")

 

Monthly Net Asset Value

 


Crystal Amber Fund announces that its unaudited net asset value ("NAV") per share on 30 November 2011 was 92.50p (31 October 2011: 99.15p per share).

 

The proportion of the Fund's NAV at 30 November 2011 represented by the five largest holdings, other investments and cash (including accruals), was as follows:

 

Top five holdings

Pence per share

Percentage of investee equity held

TT Electronics plc

19.9

5.4%

N Brown Group plc

9.4

0.8%

Omega Insurance Holdings Ltd

8.8

3.2%

PayPoint plc

8.3

1.5%

Renishaw plc

7.7

0.7%

Total of five largest holdings

54.1


Other investments

25.5


Cash and accruals

12.9


Total NAV

92.5


 

 

 

For further enquiries please contact:

 

Crystal Amber Fund Limited

William Collins (Chairman)

Tel: 01481 716 000

 

Merchant Securities Limited - Nominated Adviser

David Worlidge/Simon Clements

Tel: 020 7628 2200

 

Numis Securities Limited - Broker

Nathan Brown/Hugh Jonathan

Tel: 020 7260 1426

 

Crystal Amber Advisers (UK) LLP - Investment Adviser

Richard Bernstein

Tel: 020 7478 9080


This information is provided by RNS
The company news service from the London Stock Exchange
 
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