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Annual Information Update

8 Feb 2012 15:35

RNS Number : 0665X
Alternative Asset Opps PCC Ltd
08 February 2012
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Alternative Asset Opportunities Trust PCC Limited

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Annual Information Update

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In accordance with Prospectus Rule 5.2, the Company sets out below a brief description of the information which has been published or made available to the public in the 12 months preceding this announcement. In order to avoid an unnecessarily lengthy document, information is referred to in this update rather than included in full.

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The information referred to in this update was up to date at the time the information was published but some information may now be out of date.

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1. Announcements made via RNS, a Regulatory Information Service

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The announcements listed below have been published via a Regulatory Information Service on or around the dates indicated below and can be found on www.londonstockexchange.com (entering code TLI).

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Date

Headline

2 February 2012

Listing Rule 15.6.8

18 January 2012

Net Asset Value(s)

12 January 2012

Portfolio Update

4 January 2012

Listing Rule 15.6.8

3 January 2012

Listing Rule 15.5.1(4)

13 December 2011

Net Asset Value(s)

2 December 2011

Listing Rule 15.6.8

24 November 2011

Interim Management Statement

17 November 2011

Result of AGM

17 November 2011

Net Asset Value(s)

2 November 2011

Listing Rule 15.6.8

12 October 2011

Net Asset Value(s)

4 October 2011

Listing Rule 15.6.8

28 September 2011

Renewal of Loan Facility

21 September 2011

Final Results

20 September 2011

Net Asset Value(s)

20 September 2011

Result of EGM

12 September 2011

Renewal of Loan Facility

2 September 2011

Listing Rule 15.6.8

26 August 2011

Circular re EGM

15 August 2011

Net Asset Value(s)

9 August 2011

Holding(s) in Company

2 August 2011

Listing Rule 15.6.8

29 July 2011

Renewal of Loan Facility and related matters

15 July 2011

Net Asset Value(s)

14 July 2011

Holding(s) in Company

11 July 2011

Holding(s) in Company

4 July 2011

Listing Rule 15.5.1(4)

4 July 2011

Holding(s) in Company

1 July 2011

Listing Rule 15.6.8

10 June 2011

Net Asset Value(s)

2 June 2011

Listing Rule 15.6.8

16 May 2011

Net Asset Value(s)

9 May 2011

Interim Management Statement

6 May 2011

Listing Rule 15.6.8

12 April 2011

Net Asset Value(s)

1 April 2011

Listing Rule 15.6.8

16 March 2011

Net Asset Value(s)

2 March 2011

Listing Rule 15.6.8

23 February 2011

Half Yearly Report

17 February 2011

Net Asset Value(s)

2 February 2011

Listing Rule 15.6.8

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2. Documents filed at the Guernsey Registry

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The documents listed below were filed at the Guernsey Registry on or around the dates indicated. Copies of documents filed at the Guernsey Registry can also be obtained from the Guernsey Registry, Market Building, PO Box 451, Fountain Street, St Peter Port, Guernsey GY1 3GX.

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Date

Brief description of documents(s) filed

31 January 2012

Change of Address

8 February 2012

Special Resolution re Annual General Meeting

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The documents listed below were filed with the National Storage Mechanism on or around the dates indicated:

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Document

Date Sent

Annual Financial Report and Notice of Annual General Meeting

21 September 2011

Half-Yearly Financial Report

23 February 2011

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The annual financial reports referred to above were also filed with the Guernsey Financial Services Commission on 22 September 2011 and 7 March 2011.

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Further information on the Company's activities can be found on www.rcm.com/investmentrusts/investors_tlif.php

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Peter Ingram

Company Secretary

Alternative Asset Opportunities PCC Limited

155 Bishopsgate

London EC2M 3AD

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Tel: 020 7065 1467

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8 February 2012

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