Net Asset Value(s)

RNS Number : 8987J
Marwyn Value Investors Limited
10 December 2008
 



10 December 2008

Marwyn Value Investors Limited

Net Asset Value per Ordinary Share


The board of directors of Marwyn Value Investors Limited (the 'Company') today announce that the estimated net asset value per ordinary share of the Company based on the estimated value of the Marwyn Neptune Fund LP is £0.755 as at 28 November 2008. This has not been adjusted for any potential warrant exercise dilution.


Warrant Summary

        

Number

Exercise Price    

Subscription Period


23,259,055

  £1.15

30 September 2010



As at 28 November 2008, the share price of an ordinary share in the Company represented a discount of 53% to the net asset value per ordinary share. 


As at 28 November 2008, the share price of an ordinary share in the Company was below the exercise price for the warrants.


Historic Performance


Estimated Undiluted NAV (£)

Movement over Month (%)

Year to date movement (%)

November

0.755

-6.8

-39.6

October

0.811

-16.5

-35.2

September

0.972

-8.8

-22.4

August

1.065

-0.6

-14.9

July

1.071

-1.4

-14.4

June

1.087

-9.1

-13.2

May

1.196

-3.7

-4.4

*April

1.242

2.6

-2.9

March

1.210

-5.1

-3.3

February

1.275

3.3

1.9

January

1.234

-1.4

-1.4

2007




December 

1.251

1.2

20.1


*On 18 April 2008, the Company was amalgamated with Marwyn Value Investors Limited. Details of the amalgamation can be found on the website at www.marwynvalue.com.


Enquiries to:


Fortis Fund Services (GuernseyLimited
PO Box 119
Martello Court
Admiral Park
St Peter Port

Guernsey GY1 3HB


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