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Replacement - Net Asset Value

23 Apr 2013 11:16

RNS Number : 0020D
Praetorian Resources Limited
23 April 2013
 



Praetorian Resources Limited

("Praetorian Resources" or the "Company")

Net Asset Value

This announcement replaces announcement 9466C which was released at 07:00am this morning. The only change to the announcement is a correction of the valuation date from 31 March 2012 to 31 March 2013. No other changes have been made to the notification, the full text of the amended release is set out below:

 

 

Un-audited NAV

 

Valuation date: 31 March 2013

 

NAV per share GBP 0.322

Total NAV GBP 16,128,166

Shares in Issue 50,093,901

 

 

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

 

Contact:

For further information, please contact:-

Westhouse Securities Limited (Nominated Adviser)

+44 (0)20 7601 6100

Richard Baty

Ocean Equities Limited (Broker)

+44 (0)20 7786 4370

Guy Wilkes

Registered Office: 11 New Street, St Peter Port, Guernsey, GY1 2PF

END OF ANNOUNCEMENT

 

 

 

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