Net Asset Value(s)
From: CQS New City High Yield Fund Limited
Date: 10 July 2019
Net Asset Value
The unaudited net asset value (NAV) of the Company is noted below in pence per share. NAVs are calculated in accordance with stated policies. Applicable accounting standards and AIC recommendations are followed.
The Net Asset Value (NAV) at 09/07/2019 was:
Number of shares in issue:
Per Ordinary share (bid price) - including unaudited current period revenue
Per Ordinary share (bid price) - excluding current period revenue
For further information please contact:
Martin Cassels / Philip Rorke
Maitland Administration Services (Scotland) Limited
0131 550 3760 / 3762
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