Correction : Net Asset Value(s)
15 Oktober 2008 - 6:35PM
UK Regulatory
Due to an administrative error, the NAV disclosed in the announcement released
under reference PRNUK-1510081221-3341 was incorrect. A copy of the corrected
NAV announcement is attached.
GARTMORE IRISH GROWTH FUND PLC
The Company announces that the Net Asset Value as at 14 October 2008 was:
Including current period revenue 512.33p per Ordinary Share
Excluding current period revenue 510.03p per Ordinary Share
Fair value of the debt is not materially different from the par value, so no
additional Fair Value NAV is required.
END
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