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Net Asset Value(s)

27 Aug 2008 08:39

RNS Number : 0880C
FRM Credit Alpha Limited
27 August 2008
 



COMPANY ANNOUNCEMENT

For Immediate Release

1784441

27 August 2008

FRM Credit Alpha Fund Limited

(the "Company")

Re: Restatement of Net Asset Value per Share

The Board of FRM Credit Alpha Limited (the "Company") announces that the net asset values per share (the "NAVs") that were published as of 31 May 2008 and 30 June 2008 were incorrect due to an accounting error in the application of foreign exchange rates used in calculating the NAVs. The NAVs in question are, therefore, being restated to correct these errors. The published NAVs and the restated NAVs are set out below.

31 May 2008 30 June 2008

Published NAV 116.4 pence per share 119.9 pence per share

Restated NAV 116.7 pence per share 119.1 pence per share

Enquiries:

Financial Risk Management

Greg Taylor/Luke Burdess

Phone: 44 20 7968 6000 

McCann FitzGerald Listing Services Limited 

Tony Spratt

Phone: +353 1 607 1367

These valuations, which have been prepared in good faith by the Company's Administrator, are based principally on formal valuations supplied to the Company by the administrators of the Company's underlying investments. Such valuations or estimates are unaudited and may not comply with generally accepted accounting or valuation principles.

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