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Net Asset Value(s)

21 Mar 2018 07:00

RNS Number : 3647I
EJF Investments Ltd
21 March 2018
 

21 March 2018

EJF Investments Ltd

Net Asset Value

 

As at the close of business on 28 February 2018, the unaudited net asset value ("NAV") per share ("NAV per Share") of EJF Investments Ltd ("EJFI" or the "Company") is as set out below:

NAV per share

Change in Monthly

NAV per share

170 pence

(US Equivalent amount being $2.34)*

0.70%

(gross of dividend)**

 

The detailed monthly performance commentary can be viewed on www.ejfi.com.

 

*Based on the USD/GBP spot exchange rate of 1.3759826 as at 28 February 2018.

**A dividend of 2.5 pence per share was declared 21 January 2018 with an ex-dividend date of 1 February 2018. The dividend was paid 2 March 2018. The NAV per share stated above includes this dividend. The change in the monthly NAV per share net of the dividend is (0.76)%.

Numbers in the table are rounded.

 

ENQUIRIES

 

For the Investment Manager

EJF Investments Manager LLC

Peter Stage / Hammad Khan

pstage@ejfcap.com / hkhan@ejfcap.com

+44 203 752 6775 / +44 203 752 6771

 

For the Company Secretary and Administrator

Crestbridge Fund Administrators Limited

EJFInvestors.jsy@crestbridge.com

+44 1534 835 600

 

For the Broker

Henry Freeman/Gillian Martin

+44 20 3100 2000

 

About EJF Investments Limited

EJFI is a registered closed-ended limited liability company incorporated in Jersey under the Companies (Jersey) Law 1991, as amended, on 20 October 2016 with registered number 122353. The Company is regulated by the Jersey Financial Services Commission (the "JFSC"). The JFSC is protected by both the Collective Investment Funds (Jersey) Law 1988 and the Financial Services (Jersey) Law 1998, as amended, against liability arising from the discharge of its functions under such laws.

 

LEI: 549300XZYEQCLA1ZAT25

 

Investor information & warnings

The latest available information on the Company can be accessed via its website at www.ejfi.com.

 

This communication has been issued by, and is the sole responsibility of, the Company and is for information purposes only. It is not, and is not intended to be an invitation, inducement, offer or solicitation to deal in the shares of the Company. The price and value of shares in the Company and the income from them may go down as well as up and investors may not get back the full amount invested on disposal of shares in the Company. An investment in the Company should be considered only as part of a balanced portfolio of which it should not form a disproportionate part. Prospective investors are advised to seek expert legal, financial, tax and other professional advice before making any investment decision.

 

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