Net Asset Value(s)
March 23 2011 - 11:03AM
UK Regulatory
TIDMGIR
GARTMORE IRISH GROWTH FUND PLC
The Company announces that the Net Asset Value as at 22 March 2011 was:
Including current period revenue 776.13p per Ordinary Share (current period
revenue is updated monthly)
Pursuant to the result of the general meeting held yesterday, the Company's
shares were reclassified today. Net asset values will not be released for the
reclassified shares.
23 March 2011
END
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