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Annual Information Update

3 Aug 2010 11:12

RNS Number : 4334Q
Aberdeen Private Equity Fund Ltd
03 August 2010
 



Aberdeen Private Equity Fund Limited (the "Company") - Annual Information Update

 

 

Pursuant to Prospectus Rule 5.2, the Company sets out below a brief description of the information published throughout the period 14 August 2009 to 3 August 2010 by the Company. Further details on any of the announcements may be obtained from the Company Secretary. All information was notified to a Regulatory Information Service in London. Some of the information referred to below was provided as at a specific date and consequently may be out of date.

 

Copies of these announcements may be viewed online at the website of the London Stock Exchange:

 

http://www.londonstockexchange.com/en-gb/pricesnews/marketnews

 

For further information on any of the news items below, or to obtain original copies of any of the publications referred to, please contact:

 

RBC Offshore Fund Managers Limited

Company Secretary to Aberdeen Private Equity Fund Limited

Canada Court

St Peter Port

Guernsey

GY1 3QE

Telephone: (44) 1481 740000

Fax: (44) 1481 744524

E-mail: robin.amer@rbc.com

 

Date of Announcement

Summary of Announcement

02 August 2010

Total Voting Rights Update

30 July 2010

Posting of Annual Report and AGM Notice

29 July 2010

Transaction in own shares

26 July 2010

AUDITED ANNUAL FINANCIAL REPORT

21 July 2010

Net Asset Values, 30th June 2010

06 July 2010

Notification of Major Interest in Shares

02 July 2010

Factsheet May 2010

28 June 2010

Conversion Announcement Final Ratio's

22 June 2010

Net Asset Values, 28th May 2010

09 June 2010

Factsheet April 2010

07 June 2010

Change of Name Announcement

03 June 2010

Results of Extraordinary General Meeting

01 June 2010

Directors Holding Disclaimer GBP Share Class

01 June 2010

Directors Holding Disclaimer USD Share Class

26 May 2010

Compliance with Model Code

25 May 2010

Net Asset Values, 30th April 2010

21 May 2010

Director Holdings Disclosure

18 May 2010

Director Declaration

14 May 2010

Notification of Transactions of Directors

11 May 2010

Publication of circular

30 April 2010

Notification of Major Interest in Shares

30 April 2010

Notification of Major Interest in Shares

22 April 2010

Net Asset Values, 31st March 2010

09 April 2010

Share Conversion Update

01 April 2010

Notification of Major Interest in Shares

31 March 2010

Director Declaration

31 March 2010

Director Declaration

19 March 2010

Notification of Transactions

18 March 2010

Net Asset Values, 26th February 2010

17 March 2010

Transactions of Directors

16 March 2010

Transaction of Directors

09 March 2010

Restructure Proposals

02 March 2010

Factsheet January 2010

19 February 2010

Net Asset Values, 29th January 2010

17 February 2010

Unaudited Interim Management Statement

01 February 2010

Factsheet December 2009

25 January 2010

Net Asset Values, 31st December 2009

13 January 2010

Director Declaration

12 January 2010

Factsheet November 2009

23 December 2009

Appointment of Directors

21 December 2009

Net Asset Values, 30th November 2009

30 November 2009

Factsheet October 2009

25 November 2009

Half-Yearly Financial Statements

23 November 2009

Conversion of Securities - Final Ratios

20 November 2009

Net Asset Values, 30th October 2009

19 November 2009

Appointment of New Investment Manager

02 November 2009

Factsheet September 2009

28 October 2009

Conversion between Classes

20 October 2009

Net Asset Values, 30th September 2009

07 October 2009

Conversion of Securities

02 October 2009

Announcement of Close Period

28 September 2009

Factsheet August 2009

21 September 2009

Net Asset Values, 28th August 2009

01 September 2009

Factsheet July 2009

27 August 2009

Result of AGM

21 August 2009

Net Asset Values, 31st July 2009

19 August 2009

Interim Management Statement

14 August 2009

Annual Information Update

 

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