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Net Asset Value(s)

Released 11:58 10-Jul-2014

RNS Number : 9801L
Polar Capital Technology Trust PLC
10 July 2014


10th July 2014

Net Asset Value

As at close of business on 9th July 2014the unaudited net asset value per share, calculated in accordance with the AIC formula (including current year deficit and based on bid market values) was 490.38p.



Polar Capital Technology Trust plc can earn a performance fee which would be payable at the year end, as a result of outperformance over the benchmark index, if the NAV per share (after adjusting for share buy backs and issuance and any accrual for the performance fee) exceeds the benchmark-adjusted high water mark.


The high water mark is the higher of the benchmark-adjusted NAV per share when the last performance fee was paid or the benchmark-adjusted NAV per share at the previous year end.


The current NAV per share is below the current benchmark-adjusted high water mark.


The performance fee, if payable, will be accrued daily.



- ENDS -

For further information, please call:

Tom Astor

Investment Trust Operations Department

Polar Capital Partners Limited

Tel: 020 7227 2780 

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Net Asset Value(s) - RNS