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Net Asset Value(s)

3 Aug 2016 16:59

RNS Number : 1875G
Ecofin Water & Power Opps PLC
03 August 2016
 

ECOFIN WATER & POWER OPPORTUNITIES PLC (the "Company")

The Company announces that at the close of business on 31 July, 2016, the un-audited Net Asset Value per Ordinary Share was:-

Share Class

NAV (p)

(inc undistributed revenue)

Increase/(Decrease) %

Absolute Movement (p)

Ordinary Shares

163.94

-0.60

-0.99

 

All outstanding CULS were redeemed by the Company on 31 July, 2016 and as such there is no diluted NAV calculation. The CULS were redeemed at their nominal value, together with interest accrued up to the date of final repayment.

 

The ZDP Shares matured on 31 July, 2016 with holders entitled to a repayment of 160.70p per Share.

Fund values (rounded)

£'000

£'000

Total Assets (less cash at bank)

300,737

Cash at Bank

44,573

Total Assets

345,310

Borrowings:

Prime Brokerage

1,218

1,218

Net Assets (Ordinary Shareholders Funds)

344,092

Net cash (net cash/net assets) *

12.6%

 

 

*Net cash is bank debt, less cash at bank, including brokers net outstanding balances.

 

Notes:

The total assets of the Company include approximately £5.2m in bonds. Adjusted for this, the total equity exposure of the Company is 85.9% of net assets.

 

The NAV has been prepared on a "break-up" or realisable value basis following the approval of the Continuation Vote by Shareholders on 24 June, 2016. Details of the accounting adjustments and the accrual of liquidation costs are detailed in the 31 March, 2016 interim accounts announced on 30 June, 2016.

 

BNP Paribas Secretarial Services Limited

Company Secretary 

Tel: 020 7410 5971 

03 August, 2016

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