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2014-04-08

Private Equity Holding AG: Preliminary Net Asset Value as of March 31, 2014

Private Equity Holding AG / Preliminary Net Asset Value as of March 31, 2014.
Processed and transmitted by NASDAQ OMX Corporate Solutions. The issuer is
solely responsible for the content of this announcement.
NEWS RELEASE

Zug, April 8, 2014

Preliminary Net Asset Value as of March 31, 2014

The Net Asset Value (intrinsic value) of one registered share of Private
Equity Holding AG stood at EUR 65.91 (CHF 80.29) as of March 31, 2014. This
represents an increase of 1.0% (in EUR) since February 28, 2014.

The enclosed monthly newsletter shows the development of the NAV and of the
share price as well as certain balance sheet data and portfolio key figures.

***

Private Equity Holding AG (SIX: PEHN), offers investors the opportunity to
invest, within a simple legal and tax optimized structure, in a broadly
diversified and professionally managed private equity portfolio.

For further information, please contact:
David Wetter, Investor Relations, david.wetter@peh.ch, phone +41 41 726 79 80,
http://www.peh.ch

Basis of the Net Asset Value Calculation and Disclaimer

The number of outstanding shares used for calculation of the Net Asset Value
per share amounted to 3,195,280 as of March 31, 2014 (February 28, 2014:
3,208,206). The calculations are prepared in accordance with International
Financial Reporting Standards (IFRS) and pursuant to the guidelines of the
European Venture Capital Association (EVCA). The Net Asset Values of the fund
investments are based on the most recent report of the latest NAV (net asset
values) as reported by the funds. Unlisted direct investments are rated at
Net Asset Values. The Net Asset Value of listed direct investments is the
market value. Based on a composite assessment of all appropriate and
applicable indicators of the Net Asset Value, Private Equity Holding AG makes
a good faith estimate of the Net Asset Value as of the valuation date. The
Net Asset Values are calculated under a going concern assumption. The Net
Asset Value of Private Equity Holding AG is computed as of the end of each
month and usually published within six trading days after the cut-off date.
The different reporting cut-off dates of the individual companies and funds
in which participations are held can lead to short-term distortions and cause
discrepancies between the published Net Asset Value and the actual total
value of Private Equity Holding AG's net assets.

News Release
http://hugin.info/130308/R/1775667/605615.pdf

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This announcement is distributed by NASDAQ OMX Corporate Solutions on behalf of NASDAQ OMX Corporate Solutions clients.
The issuer of this announcement warrants that they are solely responsible for the content, accuracy and originality of the information contained therein.
Source: Private Equity Holding AG via Globenewswire

HUG#1775667

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