NAV ANNOUNCEMENT
ZENITH INTERNATIONAL BOND FUNDS LIMITED
SHARE CLASS |
: |
Participating Redeemable Preference USD0.01 Shares |
CURRENCY |
: |
USD |
NAV PER SHARE (BID) |
: |
64.094 |
NAV DATE |
: |
15-11-2011 |
SHARES IN ISSUE |
: |
7,954.7550 |
TOTAL VALUE (BID) |
: |
509,852.09 |
END OF ANNOUNCEMENT