Share Name | Share Symbol | Market | Type | Share ISIN | Share Description |
---|---|---|---|---|---|
Bramdean � | LSE:BRAL | London | Ordinary Share | GG00B1XCHB94 | STERLING PART SHS NPV |
Price Change | % Change | Share Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 53.75 | 0.00 | 01:00:00 |
Industry Sector | Turnover | Profit | EPS - Basic | PE Ratio | Market Cap |
---|---|---|---|---|---|
0 | 0 | N/A | 0 |
TIDMBRAL RNS Number : 3941Z Bramdean Alternatives Limited 21 September 2009 Bramdean Alternatives Limited (the "Company") 21st September 2009 Net Asset Values, 28th August 2009 Ordinary Shares As at the close of business on 28th August 2009, the Net Asset Value of Bramdean Alternatives Limited was as follows:- +------------------+------------------+------------------+------------------+ | Share class | Net Asset Value | Net Asset Value | Performance | | | 28th August 2009 | 31st July 2009 | | +------------------+------------------+------------------+------------------+ | GBP Shares | 82.16 pence | 80.53 pence | +2.02% | +------------------+------------------+------------------+------------------+ | US$ Shares | US$ 0.7787 | US$ 0.7757 | +0.39% | +------------------+------------------+------------------+------------------+ This valuation, which has been prepared in good faith by the Company's Fund Administrator, is for information purposes only. The valuation is based on the unaudited estimated valuations made available to the Company's Fund Administrator by service providers acting on behalf of funds held by the Company. Such estimates may not be subject to any independent verification or other due diligence and may not comply with generally accepted accounting practices or other generally accepted valuation principles. In addition, some estimates may not be supplied on a regular or timely basis with the result that the values of such investments are based on the latest available estimates which may relate to some time before the date set out above. Alternatively, and with specific reference to the Fund's Hedge Fund investments, should the Fund's last business day not correlate with that of the domicile in which the investments are made, the price used in the valuation will be that provided by the Hedge Fund Manager. In this instance, the Hedge Fund prices used are as at 31 August 2009, where available. Other risk factors which may be relevant to this valuation are set out in the Company's Prospectus dated 6th June 2007. This information is provided by RNS The company news service from the London Stock Exchange END NAVILFSLARILFIA
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