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Monthly Net Asset Value(s)

2 Jan 2013 14:08

BLACKROCK ABSOLUTE RETURN STRATEGIES LTD - Monthly Net Asset Value(s)

BLACKROCK ABSOLUTE RETURN STRATEGIES LTD - Monthly Net Asset Value(s)

PR Newswire

London, January 2

MONTHLY NAV

BlackRock Absolute Return Strategies Ltd (ticker symbol - BARS) (the "Company")

Net Asset Value and Performance Data*

As at the close of business on 30 November 2012, the net asset value andperformance of the Company's shares as prepared by the Sub-Administrator andCustodian, UBS Fund Services (Cayman) Ltd., are as follows:

Share class Net Asset November YTD Value performance performance GBP Shares £9.76 0.45% -1.90% *IMPORTANT NOTES

1. Calculation of Net Asset Value and Performance Data

Set out above are the performance figures for the month of November and theyear to date ("YTD"). Not all Managers report weekly, bi-weekly or monthlyestimated performance. The November performance figure is calculated byreference to the previous month's published estimated net asset value ("NAV"),or final NAV, if available, and the most recently available subsequentestimated performance. The YTD performance figure is calculated by reference tothe NAV at the end of the last calendar year and adjusted for the most recentlyavailable subsequent month(s)' and/or week(s)' estimated or final NAV, asappropriate. A month to date performance figure is not provided for the week inwhich the last business day of the month occurs.

Performance data generally is determined based upon the latest availablevaluations (or estimated valuations) provided, directly or indirectly, by theinvestment managers ("Managers") selected by the Company's investment advisor(the "Investment Advisor"). In some cases, valuations use assumptions that maybe complex and susceptible to significant uncertainty, and may prove incorrect.Final month-end NAVs may be materially different from the intra-month estimatesprovided and NAV and performance data should only be taken as indicative valuesfor information only. No reliance should be placed on any estimated valuations.Furthermore, the actual value of the Company's assets may be materiallydifferent from published estimated values. Estimated valuations areparticularly susceptible to inaccuracies during periods of market volatility oruncertainty, and additional information may become available subsequently whichmaterially alters assumptions or other inputs to the estimates. In the eventthat an estimated valuation subsequently proves to be incorrect, no adjustmentto a previously published estimated valuation is expected to be made nor wouldcompensation be payable.

Certain securities or other assets in which the Managers invest may not have areadily ascertainable market price or may otherwise be difficult to value andwill be priced by the Managers.

Valuations (or estimated valuations) received by the Company may be unauditedor may be subject to little verification or other due diligence and may notcomply with generally accepted accounting practices or other valuationprinciples.

Estimated valuation of the Company's NAV and performance have been prepared ingood faith by the Investment Advisor with respect to estimated performance andUBS Fund Services (Cayman) Ltd., the Company's sub-administrator (the"sub-Administrator") with respect to final monthly performance. Neither theCompany's Sub-Administrator nor the Investment Advisor will generally havesufficient information to be able to independently confirm or review thecompleteness, genuineness or accuracy of the Managers' valuations (or estimatedvaluations). In certain circumstances as set out in the Company's prospectus,including if the Investment Advisor determines, in its sole discretion, that avaluation is inaccurate or incomplete, the Investment Advisor may, in its solediscretion, determine the fair value of the Company's interests independentlyof the Managers' valuations based on information available to, and factorsdeemed relevant (at its sole discretion) by, the Investment Advisor at the timeof such valuation.

Other risk factors which may be relevant to this estimated valuation are setout in the Company's prospectus dated 4 April 2008 and the Circulars sent toShareholders dated 15 July 2011 and 26 November 2012.

2. ERISA

The articles of association of the Company prohibit any purchase or acquisitionof shares by or on behalf of or for the benefit of an ERISA plan or benefitplan investor subject to similar laws (a "Plan Investor"), and incorporateprovisions whereby purported purchases of shares by or on behalf of or for thebenefit of an ERISA plan or Plan Investor will not operate to confer anyinterest or rights whatsoever in such shares in favour of an ERISA plan or PlanInvestor, but instead will take effect as a trust for redemption in favour ofthe Company and the Company will subsequently purchase or redeem such shares,which purchase or redemption may take place at an amount per share which isless than the price paid by an ERISA plan or Plan Investor on the purportedacquisition.

3. For the Attention of United States Residents

The shares may not be offered or sold within the United States or to, or forthe account or benefit of, US Persons (as defined in the Regulation S under theSecurities Act of 1933 or any person who would be considered a US person underRule 4.7 of the United States Commodity Exchange Act).

This document is for information purposes only and is not an offer to invest.Estimated results, performance or achievements may differ materially from anyactual results, performance or achievements. Except as required by applicablelaw, the Company expressly disclaims any obligations to update or revise suchestimates to reflect any change in expectations, new information, subsequentevents or otherwise. All investments are subject to risk and the value ofinvestments may fluctuate. Past performance is no guarantee of future returns.Prospective investors are advised to seek expert legal, financial, tax andother professional advice before making any investment decision.

Date   Source Headline
29th Mar 20122:25 pmPRNEstimated Weekly Net Asset Value(s)
26th Mar 201211:58 amPRNHolding(s) in Company
22nd Mar 20122:43 pmPRNEstimated Weekly Net Asset Value(s)
16th Mar 20124:57 pmPRNDoc re Submission of Document
15th Mar 20122:26 pmPRNEstimated Weekly Net Asset Value
9th Mar 20124:12 pmPRNTotal Voting Rights
9th Mar 201211:47 amPRNStatement re Merger of Share Classes
9th Mar 20129:01 amPRNEstimated Monthly Net Asset Value(s)
1st Mar 20122:56 pmPRNStatement re Merger of Share Classes
1st Mar 20122:03 pmPRNEstimated Weekly Net Asset Value(s)
1st Mar 20121:48 pmPRNTotal Voting Rights
28th Feb 20122:39 pmPRNMonthly Net Asset Value(s)
23rd Feb 20122:56 pmPRNEstimated Weekly Net Asset Value(s)
9th Feb 20123:55 pmPRNEstimated Monthly Net Asset Value(s)
9th Feb 20123:54 pmPRNHolding(s) in Company
6th Feb 20125:18 pmPRNStatement re redemption of shares
2nd Feb 20125:57 pmPRNCompany Update Liquidity Profile - January 2012
2nd Feb 20124:00 pmPRNEstimated Weekly Net Asset Value(s)
1st Feb 20125:03 pmPRNTotal Voting Rights
31st Jan 20125:14 pmPRNDoc re Submission of Document
31st Jan 20125:11 pmPRNCorrection : Monthly Net Asset Value(s)
26th Jan 20121:51 pmPRNEstimated Weekly Net Asset Value(s)
24th Jan 20128:42 amPRNMonthly Net Asset Value(s)
19th Jan 20123:30 pmPRNDoc re Submission of Document
19th Jan 20123:24 pmPRNEstimated Weekly Net Asset Value(s)
12th Jan 20129:53 amPRNEstimated Weekly Net Asset Value(s)
11th Jan 20124:42 pmPRNTotal Voting Rights
11th Jan 20123:42 pmPRNEstimated Monthly Net Asset Value(s)
29th Dec 201112:38 pmPRNEstimated Weekly Net Asset Value(s)
29th Dec 201112:36 pmPRNMonthly Net Asset Value(s)
23rd Dec 201111:41 amPRNStatement re Liquidity Report
22nd Dec 20119:56 amPRNEstimated Net Asset Value(s)
16th Dec 201111:37 amPRNSubmission of Document
15th Dec 201110:10 amPRNEstimated Net Asset Value(s)
9th Dec 201111:07 amPRNEstimated Monthly Net Asset Value(s)
1st Dec 20114:52 pmPRNEstimated Net Asset Value(s)
1st Dec 20113:31 pmPRNTotal Voting Rights
30th Nov 20114:02 pmPRNMonthly Net Asset Value(s)
25th Nov 20114:32 pmPRNHolding(s) in Company
24th Nov 20113:09 pmPRNStatement re Liquidity Report
24th Nov 20112:49 pmPRNEstimated Weekly Net Asset Value(s)
22nd Nov 20119:59 amPRNBlocklisting - Interim Review
21st Nov 201112:10 pmPRNStatement re First Redemption
17th Nov 20112:35 pmPRNEstimated Weekly Net Asset Value(s)
16th Nov 20112:16 pmPRNDoc re Submission of Document
15th Nov 20114:24 pmPRNInterim Management Statement
9th Nov 20111:47 pmPRNEstimated Monthly Net Asset Value(s)
3rd Nov 20113:32 pmPRNEstimated Weekly Net Asset Value(s)
2nd Nov 20119:43 amPRNStatement re Trail Commission
1st Nov 20113:35 pmPRNTotal Voting Rights

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