Net Asset Value(s)
17 Juni 2008 - 5:27PM
UK Regulatory
GARTMORE IRISH GROWTH FUND PLC
The Company announces that the NAV as at 16 June 2008 was:
Including current period revenue 814.92 per Ordinary Share
Excluding current period revenue 813.75p per Ordinary Share
Due to an administrative error the Company announces that the NAV released on
16 June 2008 contained an error, the correct NAV is displayed below.
The Company announces that the Net Asset Value as at 13 June 2008 was:
Including current period revenue 822.45p per Ordinary Share
Excluding current period revenue 821.27p per Ordinary Share
END
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