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Net Asset Value(s)

25 Sep 2019 07:00

RNS Number : 5175N
Life Settlement Assets PLC
25 September 2019
 

LIFE SETTLEMENT ASSETS PLC

LEI: 2138003OL2VBXWG1BZ27

(the "Company" or "LSA")

Monthly NAV Performance Report

LSA, a closed-ended investment company which manages portfolios of whole and fractional interests in life settlement policies issued by life insurance companies operating predominantly in the United States, today announces its Net Asset Value (NAV) for its four classes of ordinary shares - A Ordinary Shares ("A Shares"), B Ordinary Shares ("B Shares"), D Ordinary Shares ("D Shares") and E Ordinary Shares ("E Shares") for the month ended 31 July 2019. The NAV figures are after the Tender Offer (A Shares) and special dividend payments for A Shares, D Shares and E Shares first announced on 14 May 2019.

The information and further commentary on each of its share classes will be available on LSA's website, www.lsaplc.com/investor-relations/reports-company-literature.

 

A Shares

Estimated NAV

NAV per share

US$91,133,056

US$2.2845

 

B Shares

Estimated NAV

NAV per share

US$15,174,366

US$1.0396

 

D Shares

Estimated NAV

NAV per share

US$10,580,947

US$1.1386

 

E Shares

Estimated NAV

NAV per share

US$5,942,842

US$3.4287

 

 

For further information contact

 

Acheron Capital Limited (Investment Manager)

Jean-Michel Paul

020 7258 5990

 

Shore Capital (Financial Adviser and Broker)

Robert Finlay

020 7601 6115

 

George Bayer / Kerry Higgins

Maitland Administration Services Limited

Company Secretary

Tel: 01245 209780

 

TB Cardew (Financial PR)

Shan Shan Willenbrock

020 7930 0777

 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.
 
END
 
 
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