6 Jan 2016 07:00
GLOBAL RESOURCES INVESTMENT TRUST PLC
("GRIT")
6 January 2016
Frequency of Net Asset Value Announcements
In conjunction with the year-end audit for December 2015, the Company is currently undertaking a review of the carrying values of its unquoted investments, and hence no daily Net Asset Values ("NAV") have recently been announced.
It is anticipated that this exercise will be completed early next week, at which point the Company will resume daily NAV announcements.
Enquiries to:
David ("Sam") Hutchins, RDP Fund Management LLP Investment Manager | Tel: +(0) 7290 8540 |
Martin Cassels R&H Fund Services Limited Company Secretary and Administrator | Tel: +(0) 131 550 3760 |