Net Asset Value(s)

GEIGER COUNTER  LIMITED Date of Announcement: 13/04/2010 Net Asset Values per share as at 09/04/2010 The unaudited net asset value (NAV) of the company is noted below in pence per share.   Pence per share Geiger Counter Limited 78 -------------------------------------------------------------------------------- Net asset value as at 09.04.2010 of British Pound Absolute Return Fund participating redeemable preference no par value shares (TIDM: GCS): NAV-bid........... : 78 GBp -------------------------------------------------------------------------------- Net asset value as at 09.04.2010 of British Pound Absolute Return Fund participating redeemable preference no par value shares (TIDM: GCL): NAV-bid........... : 78 GBp [HUG#1403147]
UK 100

Latest directors dealings