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Crystal Amber Fund NAV up

By BFN News | 08:33 AM | Thursday 06 March, 2014

Crystal Amber Fund's net asset value per share grew 17.4% in teh six months to the end of December and by 30% over the 2013 calendar year, or 30.4% including the dividend paid in August. The NAV per share stood at 156.1p at 31 December - up from 133.05p at 30 June and 120p a year ago. The company said the £26.5m fundraising completed in August at a premium to NAV was followed by an additional sale of 4.4 million treasury shares in October at NAV, increasing the fund's size by a further £6.7m. At 8:33am: (LON:CRS) Crystal Amber Fund Limited share price was +0.38p at 155.25p Story provided by

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