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Pin to quick picksCrystal Amber Regulatory News (CRS)

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Monthly Net Asset Value

4 Aug 2016 07:00

CRYSTAL AMBER FUND LIMITED - Monthly Net Asset Value

CRYSTAL AMBER FUND LIMITED - Monthly Net Asset Value

PR Newswire

London, August 3

 4 August 2016 

CRYSTAL AMBER FUND LIMITED(“Crystal Amber Fund” or the “Fund”)

Monthly Net Asset Value

Crystal Amber Fund announces that its unaudited net asset value (“NAV”) per share on 31 July 2016 was 161.41p (30 June 2016: 153.79p per share). 

The proportion of the Fund’s NAV at 31 July 2016 represented by the ten largest holdings, other investments and cash (including accruals), was as follows:

Top ten holdingsPence per sharePercentage of investee equity held
Grainger Plc31.43.4%
Hurricane Energy Plc28.315.6%
Pinewood Group Plc17.85.7%
Northgate Plc17.13.3%
Leaf Clean Energy Co.14.429.9%
STV Group Plc9.87.8%
Sutton Harbour Holdings Plc8.329.3%
Restaurant Group Plc8.11.1%
FairFX Group Plc7.624.9%
Hansard Global Plc5.23.3%
Total of ten largest holdings148.0
Other investments13.0
Cash and accruals0.4
Total NAV161.4

The above NAV has been arrived at after providing for the interim dividend of 2.5p per share in respect of the year ended 30 June 2016 announced on 14 July 2016. The shares were quoted ex-dividend on 21 July 2016. The dividend will be paid on 19 August 2016 to shareholders on the register on 22 July 2016 (the record date).

For further enquiries please contact:

Crystal Amber Fund LimitedWilliam Collins (Chairman)Tel: 01481 716 000

Allenby Capital Limited - Nominated AdviserDavid Worlidge/James ThomasTel: 020 3328 5656

Numis Securities Limited - BrokerNathan Brown/Hugh JonathanTel: 020 7260 1426

Crystal Amber Advisers (UK) LLP – Investment AdviserRichard BernsteinTel: 020 7478 9080

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