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Monthly NAV Update

1 Mar 2017 13:47

RNS Number : 2490Y
Gresham House Strategic PLC
01 March 2017
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Gresham House Strategic plc

1 March 2017

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Net Asset Value Update

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Gresham House Strategic plc (the "Company"), announces that as at 28 February 2017 the unaudited net asset value (NAV) per ordinary share was 1,100.4 pence.

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Pursuant to the announcement dated 16 August 2016 regarding the Strategic Co-Investment Agreement with Gresham House Strategic Public Equity Fund LP and the transfer of up to 3,875,969 shares in IMImobile plc, the above NAV calculation assumes that the 1,142,391 IMO shares that are expected to be automatically sold to Gresham House plc and Gresham House Strategic Public Equity Fund LP between the First Close and the Final Close are sold in full at a price of 193.5p per share, pursuant to the rebalancing exercise described in that announcement. Capitalised terms have the same meaning as within the announcement dated 16 August 2016.

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The above NAV calculation is based on 3,687,504 ordinary shares with a nominal value of 50 pence each (the "Ordinary Shares"), being the Company's issued share capital of 3,843,275 Ordinary Shares less 155,771 Ordinary Shares held in treasury.

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For further information, please contact:

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Gresham House Strategic plc

David PotterΒ 

07711 450 391Β 

Gresham House plc / Gresham House Asset Management Ltd

Investment Manager

Graham Bird

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020 3757 5613

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finnCap

(Nominated Adviser and Broker)

Matt Goode/

Emily Watts

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020 7220 0500

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