PXP Vietnam Fund Limited Net Asset Value and Merger Update (7614B)
January 09 2015 - 4:34AM
UK Regulatory
TIDMVNF
RNS Number : 7614B
PXP Vietnam Fund Limited
09 January 2015
09 January 2015
PXP Vietnam Fund Limited
Net Asset Value
The unaudited Net Asset Value per Ordinary Share ("NAV") of PXP
Vietnam Fund Limited ("the Company") as at the close of business on
31 December 2014 was US$6.569.
Performance to 31 December 2014:
Monthly NAV performance: -4.77% (Viet Nam Index: -3.91%)
2014 full year NAV performance: +6.85% (Viet Nam Index:
+6.61%)
Performance inclusive of the dividend of US$0.075 per Ordinary
Share paid on 30 December 2014 was as follows:
December 2014: -3.68%
2014 full year: +8.07%
The monthly performance figures are calculated by reference to
the previous month-end NAV / Viet Nam Index. Viet Nam Index
performance is presented in US dollar terms.
Proposed Merger with PXP Vietnam Emerging Equity Fund Limited
("VEEF")
Following the decision of Shareholders to approve the proposed
merger with VEEF at the Extraordinary General Meeting held on 17
December 2014, the draft Plan of Merger has been submitted to the
Cayman Islands Registrar of Companies. If approved by the
Registrar, the effective date of the merger will be 2 February
2015.
As at 31 December 2014, which is the valuation day for the
proposed merger, the NAV per participating share of the Lead Series
shares of VEEF was US$6.089. In accordance with the share exchange
ratio of the merger, Shareholders of the Company will receive
1.078830 shares of VEEF for each Ordinary Share held in the
Company.
Share Capital
The issued capital of the Company is 12,000,000 Ordinary Shares
with voting rights. This figure may be used by Shareholders as the
denominator for the calculations by which they will determine if
they are required to notify their interest in, or a change to their
interest in, the Company under the Transparency (Directive
2004/109/EC) Regulations.
For the latest NAV daily estimates, see the website of the
Investment Manager at www.pxpam.com
For further information, please contact:
PXP Vietnam Asset Management
Kevin Snowball
Tel: +84 (0)8 3827 6040
khsnowball@pxpam.com
ir@pxpam.com
Panmure Gordon
Paul Fincham / Jonathan Becher
Tel: +44 (0)207 886 2500
This announcement has been issued through the Companies
Announcement Service of
the Irish Stock Exchange.
This information is provided by RNS
The company news service from the London Stock Exchange
END
ISEUKOKRVOAARRR
Pxp Vietnam (LSE:VNF)
Historical Stock Chart
From Apr 2024 to May 2024
Pxp Vietnam (LSE:VNF)
Historical Stock Chart
From May 2023 to May 2024