Prospect Japan Fund Net Asset Value(s)
January 27 2017 - 9:46AM
UK Regulatory
TIDMPJF
THE PROSPECT JAPAN FUND LIMITED
(a closed-ended investment company incorporated in Guernsey with registration
number 28863)
FUND NAME NAV SEDOL NAV DATE
The Prospect Japan Fund $1.2606 B011QL4 27th January
Limited 2017
Note: The Fund's NAV above includes a holding in Prospect Co. of Yen 270
million stock acquisition rights ('SARs') (valued at par) and 6,706,000
ordinary shares (valued at a price of Yen 76 per share) with 90 SARs having
been converted, following the initial conversion date of 21 December 2015 and
2.598 million ordinary shares arising sold. The SARs can be exercised into
shares of Prospect Co. at a price of Yen 54 per Prospect Co. share at any time
prior to the expiration date of 20 December 2020 pursuant to the terms of the
Exercise Agreement between the Fund and Prospect Co.
Top 10 Holdings
Symbol Security % of Total
Assets
FUKUSHIMA BANK 25.49%
8562
8563 THE DAITO BANK 25.32%
9313 MARUHACHI WAREHOUSE 9.01%
8205 SHAKLEE GBL. GRP. 7.24%
3528 PROSPECT CO 5.81%
1921 TOMOE 3.41%
8521 NAGANO BANK 3.39%
Date: 27th January 2017
Enquiries:
Northern Trust International Fund Administration Services (Guernsey) Limited
Harry Rouillard 44 (0)1481 745315
END
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