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Share Name | Share Symbol | Market | Type | Share ISIN | Share Description |
---|---|---|---|---|---|
Newstar Rbc 1X$ | LSE:HXU | London | Ordinary Share | GG00B1FBH701 | RED PREF SHS NPV (1X USD) |
Price Change | % Change | Share Price | Bid Price | Offer Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 0.65 | 0.00 | 00:00:00 |
Industry Sector | Turnover | Profit | EPS - Basic | PE Ratio | Market Cap |
---|---|---|---|---|---|
0 | 0 | N/A | 0 |
TIDMHXS TIDMHXU TIDMHXE RNS Number : 8205P New Star RBC Hedge250 IDX (1X GBP) 31 March 2009 New Star RBC Hedge 250 Index Exchange Traded Securities PCC Limited (the "Company") 31 March 2009 Estimated Net Asset Values at 20 March 2009 Ordinary Shares As at the close of business on 20 March 2009, the estimated net asset values of the Company's ordinary shares based on the RBC Hedge 250 Index value at 20 March 2009 as published on the 23 March 2009 are as follows: NAV per Share Treasury NAV per Share +----------------------+--------------------+----------------+ | 1X US$ Shares | $0.7633 | $0.7433 | +----------------------+--------------------+----------------+ | 1X Euro Shares | EUR0.7456 | EUR0.7310 | +----------------------+--------------------+----------------+ | 1X Sterling Shares | GBP0.7564 | GBP0.7411 | +----------------------+--------------------+----------------+ | 3X US$ Shares | $0.2813 | N/A | +----------------------+--------------------+----------------+ | 3X Euro Shares | EUR0.2586 | N/A | +----------------------+--------------------+----------------+ | 3X Sterling Shares | GBP0.2601 | N/A | +----------------------+--------------------+----------------+ The treasury NAV per Share assumes that the Shares held in treasury are sold at their bid price. This intra month estimated net asset value is provided for illustrative purposes only and may not reflect performance of all underlying funds comprising the RBC Hedge 250 Index. An estimated net asset value for 31 March 2009 will be released on 17 April 2009 and the final net asset value for 31 March 2009 will be released on 30 April 2009. These valuations, which have been prepared in good faith by the Company's administrator, are for information purposes only. Certain risk factors which may be relevant to these valuations are set out in the Company's prospectus dated 19 October 2007. Enquiries Alison Bilham, HSBC Securities Services (Guernsey) Limited Tel: + 44 (0)1481 707213 END This information is provided by RNS The company news service from the London Stock Exchange END NAVBBGDXCSXGGCB
1 Year Newstar Rbc 1X$ Chart |
1 Month Newstar Rbc 1X$ Chart |
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