Net Asset Value(s)
18 Juin 2009 - 6:22PM
UK Regulatory
TIDMNSPE
NEW STAR PRIVATE EQUITY INVESTMENT TRUST PLC
Net Asset Value
The Company announces that the unaudited Net Asset Value per Ordinary share at
31 May 2009 was:
NAV per share Treasury NAV per share
Cum income 317.69p 317.69p
Ex income 319.63p 319.63p
Unquoted investments are valued at the latest valuation provided by underlying
managers, adjusted for subsequent cash receipts and drawdowns, and listed
securities are valued on a bid basis.
18 June 2009
END
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