Castelnau Group Ltd - Net Asset Value(s)
NOT FOR RELEASE, PUBLICATION OR DISTRIBUTION, DIRECTLY OR INDIRECTLY, IN WHOLE OR IN PART, TO US PERSONS OR INTO THE UNITED STATES, AUSTRALIA, CANADA, JAPAN, NEW ZEALAND OR THE REPUBLIC OF SOUTH AFRICA OR INTO ANY OTHER JURISDICTION WHERE TO DO SO MIGHT CONSTITUTE A VIOLATION OR BREACH OF ANY APPLICABLE LAW.
07 November 2024
Castelnau Group Limited
(the "Company")
Publication of Net Asset Value (“NAV”)
FUND NAME
NAV PER ORDINARY SHARE
ISIN
NAV DATE
Castelnau Group Limited
0.97 GBP*
GG00BMWWJM28
31st October 2024
*Cum-income NAV
As at 31st October 2024, the Company’s net assets were £313.8m
Further information on the Company can be found on its website at www.castelnaugroup.com
Enquiries:
Northern Trust International Fund Administration Services (Guernsey) LimitedCara De La MareTel: +44 (0) 1481 745498
Notes:
The Company’s LEI is: 213800PED8RFUBMK1T64.
A copy of this announcement will be available on the Company's website at www.castelnaugroup.com. Neither the content of the Company's website, nor the content on any website accessible from hyperlinks on its website for any other website, is incorporated into, or forms part of, this announcement nor, unless previously published by means of a recognised information service, should any such content be relied upon in reaching a decision as to whether or not to acquire, continue to hold, or dispose of, securities in the Company.