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Second Compulsory Redemption of Shares

23 May 2018 16:31

RNS Number : 0864P
Aberdeen Private Equity Fund Ltd
23 May 2018
 

 

 

23 May 2018

Aberdeen Private Equity Fund Limited (the "Company")

SECOND COMPULSORY REDEMPTION OF SHARES

 

· REDEMPTION DATE 31 MAY 2018

· THE COMPANY WILL RETURN £3.0 MILLION TO SHAREHOLDERS

· REPRESENTS 71.3% OF NET ASSETS AT 30 APRIL 2018

 

Further to the Company's previous announcements and as per the Compulsory Redemption mechanism outlined in the Company's Circular dated 1 February 2018, the Board of Directors of Aberdeen Private Equity Fund Limited is pleased to announce a second capital distribution in respect of the Company's Ordinary shares (the "Redemption"). The Company has resolved to return a total of £3.0 million (the equivalent of approximately 71.3% of net assets as at 30 April 2018) to Shareholders on the register as at close of business on 30 May 2018 (the "Redemption Record Date") by way of a compulsory partial redemption of Shares.

 

The number of shares to be redeemed in aggregate in this second redemption represents approximately 50% of the Company's issued share capital as at close of business on the Redemption Record Date. The percentage of Shares being redeemed has been determined at the Directors' sole discretion, as set out previously in the announcement of 4 April 2018, and does not relate to the percentage of proceeds being distributed.

 

Payment will be made on 5 June 2018 being the redemption payment date (the "Redemption Payment Date"). The redemption price will be 11 pence for each Share being redeemed (the "Redemption Price"). The Redemption will be effected pro rata to the holdings of Shares on the register on the Redemption Record Date. 

 

The Company currently has 54,499,020 Shares in issue. All of the Shares redeemed will be cancelled and any fractions of shares will be rounded down to the nearest whole share as appropriate.

 

All existing Shares will be traded under the existing ISIN number GG00BD5G6386 (the "Old ISIN") until close of business on the Redemption Record Date. The Shares being redeemed will be disabled in CREST after close of business on the Redemption Record Date and the Old ISIN will expire. These shares will be cancelled and all proceeds of the Redemption will be paid in pounds Sterling on or around the Redemption Payment Date.

 

The new ISIN number GG00BFNS0161(the "New ISIN"), in respect of the remaining Shares which have not been redeemed, will be enabled and available for transactions from 08:00 on 31 May 2018. CREST will automatically transform any open transactions as at the Redemption Date into the New ISIN.

 

Inclusive of this redemption, the Company will have returned £151.6 million to Shareholders, or approximately 93.7% of the Company's 30 November 2017 NAV, the prevailing NAV at the time when the Company announced it had entered into a Sale and Purchase Agreement to sell its entire investment portfolio. A final pre-liquidation redemption may be paid in June as explained in the Circular.

 

Expected timetable:

 

Redemption Record Date

30 May 2018

Redemption Date and new ISIN enabled

31 May 2018

Redemption Payment Date (on or around)

5 June 2018

 

Terms not defined in this announcement shall have the same meaning as those defined in the Circular.

LEI: 213800V526XNYNLZPV78 

 

For further information, please contact:

Ipes (Guernsey) Limited

Nicholas Robilliard

T: +44 1481 735827

 

 

 

 

 

 

 

 

 

 

 

 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.
 
END
 
 
CASPGUBPAUPRGAW
Date   Source Headline
21st Oct 20087:00 amRNSSeptember 2008 Factsheet
17th Oct 20082:52 pmRNSFinal NAV September 2008
7th Oct 200811:56 amRNSConversion of Securities 8th October 2008
3rd Oct 20082:40 pmRNSClose Period
25th Sep 20084:31 pmRNSTransaction in Own Shares
24th Sep 20089:30 amRNSDirector Declaration
23rd Sep 20089:42 amRNSAugust 2008 Factsheet
19th Sep 20088:14 amRNSFinal NAV 29 August 2008
17th Sep 20084:12 pmRNSBroker Appointment Announcement
10th Sep 20087:00 amRNSMajor Interest in Shares
8th Sep 20084:53 pmRNSAGM Statement
1st Sep 20084:29 pmRNSAdjournment of AGM
29th Aug 20087:00 amRNSMajor Interest in Shares
22nd Aug 20088:19 amRNSFactsheet July 2008
22nd Aug 20087:00 amRNSFinal NAV July 2008
8th Aug 20088:10 amRNSInterim Management Statement
21st Jul 20082:09 pmRNSReports, financial Statements
18th Jul 20083:48 pmRNSPortfolio Update June 2008
18th Jul 20083:44 pmRNSFinal NAV June 2008
11th Jul 20087:00 amRNSAnnual Report and Accounts
25th Jun 20089:43 amRNSMay 2008 Factsheet
20th Jun 20088:28 amRNS30th May 2008 NAV Announcemen
11th Jun 20084:34 pmRNSDirector Declaration
28th May 20083:03 pmRNSApril 2008 Factsheet
27th May 20081:02 pmRNSConversion of Securities
23rd May 20084:55 pmRNSDirector Declaration
22nd May 200810:24 amRNSFinal NAV 30th April 2008
13th May 200810:18 amRNSCompliance with the Model Cod
25th Apr 20083:05 pmRNSConversion between classes
23rd Apr 20083:57 pmRNSMarch 2008 Factsheet
21st Apr 20083:13 pmRNSEstimated NAV 31March08
10th Apr 20082:29 pmRNSConversion of Securities
10th Apr 20087:30 amRNSTransaction in own Shares
1st Apr 20087:30 amRNSTransaction in Own Shares
28th Mar 20084:34 pmRNSFebruary 2008 Factsheet
20th Mar 200811:04 amRNSNAV 29th February 2008
29th Feb 20084:10 pmRNSJanuary 2008 Factsheet
22nd Feb 20087:00 amRNSNAV 31 January 2008
18th Feb 20082:37 pmRNSInterim Management Statement
25th Jan 20087:00 amRNSPortfolio Update Dec 2007
24th Jan 200810:24 amRNSNAV 31 Dec 2007
21st Dec 20074:47 pmRNSNovember 2007 Factsheet
21st Dec 20077:00 amRNSFinal NAV 30 Nov 2007
23rd Nov 20074:58 pmRNSFactsheet October 2007
22nd Nov 200711:51 amRNSInterim Results
22nd Nov 20077:01 amRNSFinal NAV 31 October 2007
23rd Oct 20078:50 amRNSFactsheet September 2007
23rd Oct 20077:01 amRNSFinal NAV 28 September 2007
5th Oct 20073:35 pmRNSFactsheet August 2007
5th Oct 20077:00 amRNSNAV Final 31 Aug 2007

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