4 Oct 2016 16:30
El Oro Ltd
4 October 2016
El Oro Ltd. ("the Company") Registration No: 49778
Following an adjustment to a year-end provision in the year-end accounts, the net asset values for 30 June 2016 and 31 July 2016 have changed slightly.
The revisions are as follows:
Immediate Announcement: Net Asset Value
Valuation date 30 June 2016 Revised
Currency GBP
NAV 79.5 pence 79.7 pence
Share Price (mid) 55.0 pence no change
Discount 30.8 % 30.9 %
Immediate Announcement: Net Asset Value
Valuation date 31 July 2016 Revised
Currency GBP
NAV 84.3 pence 84.5 pence
Share Price (mid) 55.0 pence no change
Discount 34.8 % 34.9 %
The Company's Share Price can be found at www.cisx.com and also on SETSqx [ticker - ELX].
For further information, please contact:
Aztec Financial Services (Guernsey) Limited 01481 748831
Chris Copperwaite
El Oro Ltd www.eloro.com 020 7581 2782
Robin Woodbine Parish, Chairman
Una Ni Dhonaill
Registered address: East Wing, Trafalgar Court, Les Banques, St Peter Port, GY1 1WD
End of announcement