- Release Date: 02/08/12 15:27
- Summary: NTA: KFL: KFL NAV as at 1/8/12 - undiluted $1.1117, diluted $1.0657
- Price Sensitive: No
- Download Document 1.54KB
KFL 02/08/2012 13:27 NTA REL: 1327 HRS Kingfish Limited NTA: KFL: KFL NAV as at 1/8/12 - undiluted $1.1117, diluted $1.0657 KFL NAV as at 1/8/12 - undiluted $1.1117, diluted $1.0657 Date 1/8/2012 31/7/2012 KFL undiluted NAV $1.1117 $1.1129 KFL diluted NAV $1.0657 $1.0666 Share price close $1.00 $0.99 Discount based on undiluted NAV 10% 11% Discount based on diluted NAV 6% 7% The above NAVs are unaudited. The net asset value per share is after deducting treasury stock (shares acquired under the Kingfish buyback programme). The diluted net asset value describes the effect if all remaining warrants in existence (KFLWB) were exercised today at $0.95. At 1 August 2012 39,011,358 warrants remain to be exercised. These warrants may be exercised on the final exercise date: Monday 3 September 2012 (Final Exercise Date). The five largest portfolio holdings at 1 August 2012 are approximately as follows: Ryman Healthcare 15% Mainfreight 13% Freightways 8% NZX 6% Infratil 6% BACKGROUND Kingfish Limited is a listed investment company investing in growth companies that are listed on the NZSX and NZAX, and unlisted companies. The investment portfolio is managed by Fisher Funds Management Limited, a specialist New Zealand investment manager with a track record of successfully investing in growth company shares. Kingfish began operating in March 2004 when it received subscriptions for 58.5m shares at $1 per share. For further information please contact Kingfish Ltd, ph (09) 489-7094. End CA:00225591 For:KFL Type:NTA Time:2012-08-02 13:27:39
Ann: NTA: KFL: KFL NAV as at 1/8/12 - undiluted $
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