NAV ANNOUNCEMENT

 

      ZENITH INTERNATIONAL BOND FUNDS LIMITED

 

 

 

 

 

 

SHARE CLASS

:

Participating Redeemable Preference USD0.01 Shares

CURRENCY

:

USD

NAV PER SHARE (BID)

:

64.050

NAV DATE

:

11-11-2011

SHARES IN ISSUE

:

10,501.4850

TOTAL VALUE (BID)

:

672,622.46

 


END OF ANNOUNCEMENT