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Net Asset Value(s)

20 Oct 2015 16:20

RNS Number : 8786C
BlueCrest AllBlue Fund Ltd
20 October 2015
 



BLUECREST ALLBLUE FUND LIMITED (the "Company") 

CONFIRMED MONTHLY NET ASSET VALUE ("NAV") OF SHARES 

The confirmed Net Asset Value of the undermentioned two classes of shares of no par value in BlueCrest AllBlue Fund Limited (collectively the "Shares") as at the close of business on Wednesday 30 September 2015 (the "VP", being the valuation point) are: 

NAV

 

Month Performance

 

YTD Performance

 

Sterling Shares

GBP 2.0079

0.27%

2.85%

 

US$ Shares

 

USD 1.9120

 

0.26%

 

2.66%

 

 

These confirmed NAVs have been calculated using the confirmed net asset value of the respective currency classes of shares in AllBlue Limited owned by the Company as at the VP following information supplied to the Company by GlobeOp Financial Services (Cayman) Limited, the appointed Administrator of AllBlue Limited.

 

This announcement of the confirmed NAVs of the Shares supersedes the estimated NAVs as at the VP announced on Monday 5 October 2015.

 

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. 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. 

 

20 October 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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