TIDMBKWB

RNS Number : 1761C

Brookwell Limited

02 March 2011

BROOKWELL LIMITED

Net Asset Value per Share

B Share

The unaudited net asset value per B Share as at the close of business on 25 February 2011 was 101.49p of which 75% was represented by cash and cash equivalents*. The net asset value includes current financial year revenue items. The B Class Fund held one investment at 25 February 2011 which has been valued on a bid price basis.

The above net asset value calculation has been based on 418,858 B Shares in issue.

* Cash and cash equivalents includes proceeds from sales for future settlement at the above date.

D Share

The Company announced on 22 February 2011 that it raised GBP16.1 million in the recent placing of D Shares. After providing for the estimated costs of the placing the net asset value of the D Class Fund was GBP15.6 million, equivalent to a net asset value per D Share of 96.70p.

The unaudited net asset value per D Share at the close of business on 25 February 2011 was 94.62p. The net asset value includes current financial year revenue items. The investments in the D Class Fund have been valued on a bid price basis and 16,096,091 D Shares used in the above calculations.

For further information please contact:

Brookwell Limited

Hannah Girard Tel: 01481 726 034

Progressive AIM Realisation Limited (Investment manager)

Robert Legget / Ross Courtier Tel: 020 7566 5550

Deloitte Corporate Finance (Nominated adviser)

Jonathan Hinton / James Lewis Tel: 020 7936 3000

Marshall Securities Limited (Broker)

John Webb Tel: 020 7490 3788

2 March 2011

Website: www.brookwelllimited.com

This information is provided by RNS

The company news service from the London Stock Exchange

END

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