IN BRIEF: Pantheon International NAV per share up from previous month
Pantheon International PLC - Exeter, England-based private equity investor - Net asset value per share on November 30 is 469.50 pence, up 2.1% from 460.00p on October 31. Private equity assets on November 30 are GBP2.48 billion while net available cash balances are GBP52 million and undrawn investments commitments are GBP848 million. Maintains a five-year GBP500 million multi-tranche, multi-currency revolving credit facility agreement that is due to expire in July. Invests GBP16.6 million in share buybacks in November via acquiring 6.4 million shares at average price of 262.1p.
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