22 Oct 2012 07:00

22 October 2012
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PRAETORIAN RESOURCES LIMITED
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(the "Company" or "Praetorian")
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Un-audited NAV
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Valuation date: 30 September 2012
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Currency GBP
NAV per share 0.4556
Total NAV 22,928,722
Shares in Issue 50,331,901
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Subsequent quarterly NAV numbers will be released to the market on or around the 15th of the following month.
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This and all future valuations will be calculated under IFRS and as such Praetorian uses the bid prices to value its underlying investments.Â
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The Praetorian board intends to release a full update on the Company's progress and investments in conjunction with the 31 December 2012 NAV (on or around 15 January 2013).
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Enquiries
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Richard Baty Westhouse Securities Limited +44 20 7601 6100
Petre Norton Nominated Adviser
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Guy Wilkes Ocean Equities Limited +44 207 786 4370
Broker
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Registered Office: 11 New Street, St Peter Port, Guernsey, GY1 2PF
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END OF ANNOUNCEMENT
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