Net Asset Value(s)

New City High Yield Fund Limited 02 May 2007 Date of Announcement: 02/05/2007 Below is shown the unaudited net asset value for the Company as at close of business on 01/05//07 NAV per share (at bid market values) in £ sterling. Pence per share. New City High Yield Fund Ltd 53.28 Note: NAV is diluted, where appropriate. This information is provided by RNS The company news service from the London Stock Exchange AAUPMGCP
UK 100

Latest directors dealings