Correction : Net Asset Value(s)
06 Octobre 2011 - 6:26PM
UK Regulatory
TIDMSR.
The Net Asset Value that was released under reference number
PRNUK-0510111700-79BC was dated incorrectly. It should have read that the Net
Asset Value was "at 30 September 2011" instead of "at 28 September 2011". The
corrected announcement is below.
SR EUROPE INVESTMENT TRUST PLC
The Company announces that the unaudited Net Asset Values at 30 September 2011
were:
Per Ordinary share - basic, including estimated current period revenue
reserves: 187.57 pence.
Per Ordinary share - basic, excluding estimated current period revenue
reserves: 185.66 pence.
END
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