Less Ads, More Data, More Tools Register for FREE

Pin to quick picksHTCF.L Regulatory News (HTCF)

  • There is currently no data for HTCF

Net Asset Value(s)

15 Jul 2016 17:18

RNS Number : 3772E
Highbridge Multi-Strategy Fd Ltd £
15 July 2016
 

HIGHBRIDGE MULTI-STRATEGY FUND LIMITED (the "Company")

CORRECTING NET ASSET VALUE(S) ANNOUNCEMENT

This announcement replaces that released on 4 July 2016 at 6 p.m. under RNS Number 1941D.

The announcement did not disclose the date of the Valuation Point, which was 31 May 2016. All other details remain unchanged. The full text of the corrected announcement is as follows:

These estimated NAVs are calculated as at the close of business on Tuesday, 31 May 2016, the "VP", being the valuation point: 

Ordinary Shares

NAV

Sterling Shares ISIN: GB00B13YVW48

GBP 2.0020

These estimated NAVs of a Sterling Share and a US Dollar Share have been calculated on the respective assets and liabilities of each currency class within the Company as at the VP having regard to (i) the cash and near cash items held and (ii) the confirmed net asset value of the respective currency classes of Shares in AllBlue Limited (AB) and AllBlue Leveraged Feeder Limited (ABL) (as provided by BlueCrest Capital Management Limited) duly amended using a discounted cashflow methodology based on the 12 month interbank swap rate for the relevant currency on a day count basis so as to reflect the anticipated pay-out of redemption proceeds by both AB and ABL. However, the exact timings and amounts of these cashflows are not known with certainty.

Please be advised that as at the valuation point approximately 1.5% of the assets were held as cash, approximately 18% of the assets are attributable to AB and ABL and approximately 80.5% are shares in HighBridge Multi-Strategy Fund.

 

Based on information received by the Company from AllBlue Limited and AllBlue Leveraged Feeder Limited as to the residual value of their own shares, the Company's Administrator has calculated the unaudited estimated residual payment due to the shareholders having elected the Cash Exit option to be £0.3921 per exiting Sterling share and US$0.3656 per exiting US Dollar share. These creditors may choose to take this as indicative of the potential realisation proceeds yet to be paid to them.

 

This announcement of the NAVs of the Shares supersedes the estimated NAVs as at the VP based on the estimated net asset value of the respective currency classes of Shares in AllBlue Limited and AllBlue Leveraged Feeder Limited announced on Thursday 9 June 2016.

 

Note: 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 the main market of the London Stock Exchange. 

Note: Your attention is drawn to the Company's announcement of the results of its EGM on 24 February 2016 and all subsequent announcements concerning the redemption of shares and change of investment policy. 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.

15 July 2016

 

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
 
 
NAVGGUUGMUPQGQA
Date   Source Headline
1st Nov 20232:02 pmRNSCompany Update
27th Oct 20235:30 pmRNSHighbridge Tactical Credit Fund
18th Oct 20231:37 pmRNSCompany Update
3rd Oct 20239:36 amRNSDirector Declaration
28th Apr 20232:33 pmRNSTotal Voting Rights
17th Apr 20237:00 amRNSShares in issue
30th Mar 20235:02 pmRNSHalf-year Report
29th Mar 20232:11 pmRNSReturn of Capital
29th Mar 20232:08 pmRNSCash Distribution
17th Mar 20234:35 pmRNSPrice Monitoring Extension
17th Mar 20237:00 amRNSDirector Declaration
16th Mar 20237:00 amRNSCompany Update and Return of Capital Information
15th Mar 20234:36 pmRNS2019 Redemption Portfolio
15th Mar 20234:30 pmRNSNet Asset Value(s)
7th Mar 20234:35 pmRNSPrice Monitoring Extension
13th Feb 20239:00 amRNSChange of Registered Office
2nd Dec 202211:44 amRNSResult of AGM
21st Nov 20223:05 pmRNSHolding(s) in Company
9th Nov 20227:00 amRNSNotice of AGM
8th Nov 20224:00 pmRNSNet Asset Value(s)
8th Nov 20224:00 pmRNS2019 Redemption Portfolio
7th Nov 20225:00 pmRNS2019 Redemption Portfolio
7th Nov 20224:58 pmRNSNet Asset Value(s)
2nd Nov 20227:00 amRNSDistribution
31st Oct 20223:22 pmRNSAnnual Financial Report
20th Oct 202210:47 amRNSAudit Opinion
18th Oct 202211:04 amRNSNet Asset Value(s)
18th Oct 202211:03 amRNS2019 Redemption Portfolio
25th Aug 20224:50 pmRNSNet Asset Value(s)
25th Aug 20224:41 pmRNS2019 Redemption Portfolio
1st Aug 20229:51 amRNS2019 Redemption Portfolio
1st Aug 20229:45 amRNSNet Asset Value(s)
5th Jul 202211:09 amRNS2019 Redemption Portfolio
5th Jul 202211:03 amRNSNet Asset Value(s)
1st Jun 202211:22 amRNSNet Asset Value(s)
1st Jun 202211:20 amRNS2019 Redemption Portfolio
7th Apr 20228:38 amRNSNet Asset Value(s)
7th Apr 20228:24 amRNS2019 Redemption Portfolio
25th Mar 202211:22 amRNSNet Asset Value(s)
25th Mar 202211:15 amRNS2019 Redemption Portfolio
22nd Mar 202211:00 amRNSCash Exit Payment
21st Mar 20223:02 pmRNSInterim Report and Accounts
2nd Mar 202210:23 amRNS2019 Redemption Portfolio
2nd Mar 202210:20 amRNSNet Asset Value(s)
23rd Feb 20224:40 pmRNSSecond Price Monitoring Extn
23rd Feb 20224:36 pmRNSPrice Monitoring Extension
21st Feb 202211:21 amRNSHolding(s) in Company
20th Jan 20225:22 pmRNSHolding(s) in Company
6th Jan 20225:06 pmRNS2019 Redemption Portfolio
6th Jan 20224:59 pmRNSNet Asset Value(s)

Due to London Stock Exchange licensing terms, we stipulate that you must be a private investor. We apologise for the inconvenience.

To access our Live RNS you must confirm you are a private investor by using the button below.