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Blue Capital Alternative Income Fund Limited - Net Asset Value July 2017

Hamilton, Bermuda – August 18, 2017 – In a filing with the Bermuda Stock Exchange (“BSX”), Blue Capital Alternative Income Fund Limited(the "Company", Ticker: BCAI.BH) announced its a Net Asset Value for July 2017. The full filing stated:

Net Asset Value, July 2017

As at the close of business on 31 July 2017, the unaudited net asset value of the Company's Ordinary Shares is as follows:

 

Unaudited NAV
31 July 2017

July

Performance

Year-to-Date

Performance 

Ordinary Shares

$1.1067

0.89%

2.65% 

 

In accordance with the Circular of the Company dated 4 November 2016, the Company’s administrator has calculated the estimated Net Asset Value per Redemption Share as at the close of business on 31 July 2017.  Holders of the Redemption Shares should note that the value below is included purely to provide an indication of the potential redemption proceeds yet to be paid for each Redemption Share. The actual proceeds that will be paid may differ from the amount indicated below as a result of, inter alia, the performance of the portfolio attributable to the Redemption Shares and the deduction of any applicable costs.

 

Unaudited NAV
31 July 2017

Redemption Shares

$1.1147

 

For more information about the Company, including access to the Company’s monthly Fact Sheets, please visit our website at www.bcai.bm.

Enquiries:

For investor enquiries please contact:

Blue Capital Management Ltd.

Michael J. McGuire

 +1 441 278 0988

Email: investorrelations@Sompo-Intl.com

 
   

Stifel Nicolaus Europe Limited

 +44 (0)20 7710 7600

Neil Winward

 

Mark Bloomfield

 

Tunga Chigovanyika