10 Jul 2013 12:12
TAU CAPITAL PLC
("Tau" or "the Company")
NET ASSET VALUE
The Board is pleased to advise that, following consultation with its Investment Managers, the estimated Net Asset Value ("NAV") as at close of business on 30th June 2013 is US$0.46 per share.
As the listed equity portfolio has now been liquidated, future NAV reports will be issued quarterly.
Further information, please contact:
IOMA Fund & Investment Management Ltd Philip Scales | Tel: +44 (0) 1624 681250 |
Numis Securities Ltd Nominated Adviser: Nick Westlake / Hugh Jonathan Corporate Broking: Alex Ham | Tel: +44 (0) 20 7260 1000
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