Estimated NAVs 31JAN2011 (9009A)
08 Februar 2011 - 6:23PM
UK Regulatory
TIDMDCL
RNS Number : 9009A
Dexion Commodities Limited
08 February 2011
Dexion Commodities Limited (the "Company")
Estimated Net Asset Values
Ordinary Shares
As at the close of business on 31st January 2011, the estimated
net asset values of the Company's ordinary shares are as
follows:-
Since 21
January MTD YTD
Share Class NAV Performance Performance* Performance
------------- ------------ --------------- --------------- ---------------
GBP Shares 98.49 pence -0.22% +0.17% +0.17%
------------- ------------ --------------- --------------- ---------------
EUR Shares EUR 1.1880 -0.20% +0.16% +0.16%
------------- ------------ --------------- --------------- ---------------
US$ Shares US$ 1.6828 -0.23% +0.15% +0.15%
------------- ------------ --------------- --------------- ---------------
* Based on Final NAV for 31st December 2010 reported on 07th
February 2011.
Redeemed Shares
As at the close of business on 31st January 2011, the estimated
net asset value of the Company's Redemption Portfolio was US$0.92M.
This was attributed between Redeemed Share classes as follows:-
Share Class NAV per Redeemed Share
------------ -----------------------
GBP Shares US$ 0.0243
------------ -----------------------
EUR Shares US$ 0.0251
------------ -----------------------
US$ Shares US$ 0.0249
------------ -----------------------
These valuations, which have been prepared in good faith by the
Company's administrator, are for information purposes only and are
based on the unaudited estimated valuations supplied to the
Company's investment adviser by the administrators or managers of
the Company's underlying investments and such valuations may not be
considered independent or may be subject to potential conflicts of
interest. Both weekly manager estimates and monthly valuations may
be produced as at valuation dates which do not co-incide with
valuation dates for the Company, may be based on valuations
provided as of a significantly earlier date, may differ materially
from the actual value of the Company's portfolio and are unaudited
or may be subject to little verification or other due diligence and
may not comply with generally accepted accounting practices or
other generally accepted valuation principles. The Company's
investment adviser, investment manager and administrator may not
have sufficient information to confirm or review the completeness
or accuracy of information provided by those managers or
administrators of the Company's investments. In addition, those
entities may not provide estimates of the value of the underlying
funds in which the Company invests on a regular or timely basis or
at all with the result that the values of such investments may be
estimated by the investment manager. In the case of 0 of the
Company's 29 investments, where no such formal valuation has been
received by today's date, an estimated valuation prepared by the
Company's investment adviser or by the manager or administrator of
the underlying funds has been used. Certain other risk factors
which may be relevant to these valuations are set out in the
Company's prospectus dated 10 March 2006.
Net asset values for Redeemed Shares include only those costs
and expenses attributable to Redeemed Shares which have been
accrued as at the relevant NAV date.
This information is provided by RNS
The company news service from the London Stock Exchange
END
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