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Net Asset Value

9 Dec 2014 17:23

RNS Number : 3064Z
Praetorian Resources Limited
09 December 2014
 



9 December 2014

Praetorian Resources Limited

("Praetorian Resources" or the "Company")

Net Asset Value

Praetorian Resources announces that its un-audited NAV for 30 November 2014 was:

NAV per share GBP 0.1010

Total NAV GBP 4,610,162

Ordinary Shares in Issue at 30 November 2014 45,635,936

This and all future valuations will be calculated under IFRS and as such Praetorian uses the bid prices to value its underlying investments.

Praetorian will revert to releasing quarterly NAV announcements from 31 December 2014.

 

Contacts:

 

For further information, please contact:

Praetorian Resources Limited

Robert King, Chairman

+44 (0) 1481 732 153

Grant Thornton UK LLP (Nominated Adviser)

Colin Aaronson/David Hignell/Jamie Barklem

+44 (0)20 7383 5100

Pareto Securities Limited (Broker)

Guy Wilkes

+44 (0)20 7786 4370

 

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