Regulatory News

  View printer-friendly version << Back

Blue Capital - NAV Announcement

Blue Capital Alternative Income Fund Limited (in liquidation) (the “Company”)

20 October 2021

Net Asset Value, 30 September 2021

As at the close of business on 30 September 2021, the unaudited net asset value of the Company's Ordinary Shares was as follows:

 

Unaudited NAV
30 Sep. 2021

Three Month
Performance

Year-to-Date
Performance 

Ordinary Shares

$0.0066

-5.6%

-2.2%

Quarterly Distribution
Please note that there will be no distribution this quarter.

Enquiries:

Blue Capital Management Ltd. +1 441 278 0988
Email: investorrelations@Sompo-Intl.com  
   
KPMG Advisory Limited +1 441 295 5063
Mark Allitt – Joint Liquidator  
Mike Morrison – Joint Liquidator  
Print Page Print Page | E-mail Alerts Email Alerts