Zenith International Bond Funds Ltd
Net Asset Value(s)
11:30 10 May 2012
Zenith International Bond Funds Ltd - United States Dollar Class
participating redeemable preference USD0.01 shares
ISIN: GB0007505430
Currency
NAV/Share
NAV-Offer
Shares in Issue
Total Value
Yield
Valuation Date
USD
63.74
6,676.876
425,585
08 May 2012
END OF ANNOUNCEMENT