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Net Asset Value(s)

23 Dec 2015 17:00

RNS Number : 1005K
BlueCrest AllBlue Fund Ltd
23 December 2015
 



BLUECREST ALLBLUE FUND LIMITED (the "Company") 

ESTIMATED NET ASSET VALUE ("NAV") OF SHARES 

These estimated NAVs are calculated as at the close of business on Friday 18 December 2015 the "VP", being the valuation point:

Ordinary Shares

NAV

Sterling Shares ISIN: GB00B13YVW48

GBP 2.0117

US Dollar Shares ISIN: GB00B13YXH37

USD 1.9149

These estimated NAVs have been calculated using the estimated net asset value of the respective currency classes of Shares in AllBlue Limited and AllBlue Leveraged Feeder Limited held by the Company as at the VP based on information supplied to the Company on behalf of BlueCrest Capital Management Limited, the investment manager of AllBlue Limited and AllBlue Leveraged Feeder Limited. 

The above estimated NAVs of the Shares have been calculated using information which, whilst being received from a reliable source, is itself 'estimated' and accordingly the Company accepts no responsibility for the accuracy of the estimated NAV figures given, and neither is any responsibility implied. These estimated NAVs of the Shares are provided for indication purposes only. 

Note: AllBlue Limited is a fund of hedge funds exempted company incorporated with limited liability in the Cayman Islands as an open-ended investment company. AllBlue Leveraged Feeder Limited is an exempted company incorporated with limited liability in the Cayman Islands as an open-ended investment company and invests solely in AllBlue Limited. The Company is a closed-ended investment company registered and incorporated in Guernsey. The Shares of the Company are admitted to the Official List and to trading on main market of the London Stock Exchange. 

Note: Your attention is drawn to the Company's announcement of 1 December informing shareholders that the Company has been advised by AllBlue Fund Limited of its intention to return all capital to its own shareholders with almost immediate effect. Accordingly, the net asset valuation methodology has now been amended such that the expected cash flows have been modified using a discounted cashflow methodology. This methodology uses the 12 month interbank swap rate for the relevant currency on a daycount basis. Nonetheless, the exact timings and amounts of the cashflows is not known with certainty. Investors should be aware that the amount payable on a return of capital, whether on a winding-up of the Company or otherwise, may differ materially from this valuation.

23 December 2015

 

For further information about this announcement contact:

 

JTC (Guernsey) Limited

Secretary

 

Tel: 01481 702 400

 

E&OE - in transmission

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