JPMorgan Emerging EMEA Securities Net Asset Value(s)
01 October 2024 - 9:09PM
RNS Regulatory News
RNS Number : 4875G
JPMorgan Emerging EMEA Securities
01 October 2024
JPMORGAN EMERGING EUROPE, MIDDLE EAST & AFRICA SECURITIES
PLC (the 'Company')
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Legal Entity Identifier:
549300II3MHI98ZLVH37
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THE COMPANY ANNOUNCES THE UNAUDITED
NET ASSET VALUE (NAV) As at: 30 September 2024
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THE NET ASSET VALUE PER SHARE IN
PENCE, INCLUDING INCOME WITH DEBT AT FAIR VALUE:
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49.04
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The Directors consider that in the
absence of observable market data on its Russian investments
resulting from the closure of the Moscow Exchange (MOEX) to
overseas investors, there has been a material change to the market
value of its Russian investments and therefore a fair value
valuation methodology has been applied to those investments held in
accordance with the established fair valuation policies and
procedures of the Manager, JPMorgan Funds Limited. For its MOEX
local stock, an alternative fair value adjustment has been applied
to the last trade price on 25th February 2022. The price of these
stocks has been determined by taking the live market price as at
25th February 2022 and applying a 99% provision for valuation.
Similarly, for the American Depositary Receipts and Global
Depositary Receipts an alternative fair value adjustment has been
applied to the last trade price on 2nd March 2022 and a 99%
provision for valuation applied.
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Name of contact and telephone number
for queries:
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Paul Ainger 0044 207 742
6524
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Name of authorised company official
responsible for making this notification:
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Paul Winship 0044 207 742 9815 -
Company Secretary
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Date: 01 October 2024
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