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Pin to quick picksBr.smaller Cos. Regulatory News (BSV)

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British Smaller Companies VCT is an Investment Trust

To maximise Total Return and provide investors with an attractive long-term tax-free dividend yield while maintaining the Company's status as a venture capital trust.

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Interim Management Statement

28 Jul 2016 08:56

RNS Number : 5131F
British Smaller Companies VCT PLC
28 July 2016
 

 

British Smaller Companies VCT plc

Interim Management Statement

For the quarter ended 30 June 2016

British Smaller Companies VCT plc (the "Company") presents its interim management statement for the quarter ended 30 June 2016. The statement also includes relevant financial information between the end of the quarter and the date of this statement. A copy of this interim management statement can be found at www.bscfunds.com.

Overview

The Company has continued to make good progress in the quarter with the net asset value increasing by 1.5% to 101.5 pence per ordinary share, taking the total return to 210.2 pence per ordinary share.

The portfolio delivered a total return of £1.45 million in the quarter, equivalent to 2.4% of its value at 1 April 2016. Improved profitability in a number of investments contributed to a £1.13 million return from the portfolio in the quarter with a £0.32 million surplus on income.

The Company completed one new investment during the quarter; on 30 June 2016 it invested £1.35 million into Hosted Network Solutions Limited, trading as Sipsynergy.

It will be some time before we know the real impact of the recent vote to leave the European Union on the Company's ability to make new investments, realise existing investments and on its current portfolio and the Board will keep this under constant review.

The Company has adapted its investment strategy to the new VCT legislation and is now seeing a number of high quality investment opportunities, the first of which completed on 30 June 2016.

Performance

30 June 2016

Movement

31 March 2016

Net Assets (£m)

97.1

1.4

95.7

NAV per share (PPS)

101.5

1.5

100.0

Cumulative dividends paid (PPS)

108.7

-

108.7

Total Return (PPS)

210.2

1.5

208.7

Shares in issue

95,639,906

(115,764)

95,755,670

 

The total return at 30 June 2016, calculated by reference to the NAV per ordinary share and the cumulative dividends paid per ordinary share, was 210.2 pence per ordinary share compared to 208.7 pence per ordinary share at 31 March 2016. Cumulative dividends paid were unchanged at 108.7 pence per ordinary share (31 March 2016: 108.7 pence per ordinary share).

The unaudited NAV per ordinary share as at 30 June 2016 was 101.5 pence per ordinary share (31 March 2016: 100.0 pence per ordinary share) representing an increase of 1.5 pence per ordinary share. The increase in NAV per ordinary share is primarily due to the net upward movement in the overall portfolio valuation.

Dividends and shares in issue

The Company has announced the payment of an interim dividend of 2.0 pence per ordinary share for the year ending 31 March 2017. This dividend will be paid on 5 August 2016 to those shareholders on the Company's register at close of business on 1 July 2016.

The number of ordinary shares in issue at 30 June 2016 was 95,639,906 (31 March 2016: 95,755,670). In addition, at 30 June 2016 the Company held 3,705,429 ordinary shares in treasury (31 March 2016: 3,589,665). On 17 June 2016 the Company purchased 115,764 ordinary shares at a cost of £0.1 million. These shares are held in Treasury.

On 6 July 2016 the Company purchased 217,570 ordinary shares at a cost of £0.2 million. These shares are held in Treasury.

Net assets

Net assets at 30 June 2016 comprised the following:

£000

% of net assets

Unquoted investments at fair value

2,240

2.3

Quoted investments at bid price

58,335

60.1

Total private equity investments

60,575

62.4

Fixed income securities

1,454

1.5

Total Investments

62,029

63.9

Cash and short term deposits

34,622

35.7

Other net current assets

413

0.4

Net assets

97,064

100.0

 

The investment portfolio at 30 June 2016 was comprised as follows:

Valuation

£000

Valuation as a % of net assets

GO Outdoors

10,708

11.0

Intelligent Office

4,895

5.0

Mangar Health Limited

3,410

3.5

ACC Aviation

3,408

3.5

DisplayPlan Holdings Limited

3,399

3.5

GTK (Holdco) Limited

2,802

2.9

Springboard Research Holdings Limited

2,469

2.6

Gill Marine Holdings Limited

2,296

2.4

Business Collaborator Limited

2,251

2.3

Leengate Holdings Limited

2,058

2.1

37,696

38.8

Other investments

22,879

23.6

Total investments

60,575

62.4

During the quarter to 30 June 2016 the Company made one investment of £1.35 million into Hosted Network Solutions Limited, trading as Sipsynergy.

In the quarter to 30 June 2016 the realisation and repayment of investments generated proceeds of £0.7 million.

Portfolio Performance

Over the quarter to 30 June 2016 aggregate unrealised portfolio valuations have increased by £1.1 million.

The Board continues to follow its policy of maintaining a diversified portfolio. At 30 June 2016, only two investments represented more than 3.5 per cent of the Company's NAV.

Outlook

The investment pipeline now contains a number of attractive opportunities, and discussions are well advanced in a number of cases. The Board expects the level of investment to build gradually over the rest of the year as the impact of the operation of the new rules becomes clearer.

 

28 July 2016

 

For further information please contact:

David Hall YFM Private Equity Limited Tel: 0113 244 1000

Gillian Martin Nplus1 Singer Advisory LLP Tel: 0207 496 3000

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
QRFPGUCAMUPQUMR
Date   Source Headline
7th Jul 201611:01 amRNSTransaction in Own Shares
17th Jun 201611:12 amRNSTransaction in Own Shares
17th Jun 20169:46 amRNSDividend Declaration
16th Jun 20164:05 pmRNSAnnual Financial Report
24th Mar 20163:33 pmRNSPurchase of Own Securities
11th Mar 201610:14 amRNSPayment of dividend and allotment of shares
25th Feb 20163:09 pmRNSDisclosure of Home Member State
24th Feb 201611:24 amRNSIssue of Equity and Close of Offer
9th Feb 201611:46 amRNSClose of Offer to New Subscriptions
2nd Feb 201610:00 amRNSThird Quarter Results and Offer for Subscription
15th Jan 20169:25 amRNSPayment of Interim Dividend and Issue of Shares
27th Nov 201512:33 pmRNSUnaudited interim results to 30 September 2015
1st Oct 20154:35 pmRNSTransaction in Own Shares
30th Sep 201512:09 pmRNSTransaction in Own Shares
7th Sep 201510:49 amRNSPayment of Special Dividend and Allotment of Share
14th Aug 201511:06 amRNSPurchase of Own Securities and Total Voting Rights
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10th Apr 20153:46 pmRNSOffers for Subscription - Supplementary Prospectus
31st Mar 20154:39 pmRNSCompletion of new investment
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31st Mar 20157:00 amRNSIssue of Equity
24th Mar 20159:45 amRNSClose of Offers to New Applications
9th Mar 20154:15 pmRNSOver Allotment Facility
3rd Mar 201511:20 amRNSPayment of Interim Dividend & Allotment of Shares
2nd Mar 20154:29 pmRNSIssue of Equity
4th Feb 20152:58 pmRNSPurchase of Own Securities and Total Voting Rights
4th Feb 20152:32 pmRNSPurchase of Own Securities and Total Voting Rights
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7th Jan 201510:40 amRNSPayment of Interim Dividend & Allotment of Shares
6th Jan 20153:34 pmRNSIssue of Equity
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27th Oct 20144:40 pmRNSCompletion of two new investments
20th Oct 20145:00 pmRNSPublication of Prospectus and Circular re: offers
17th Oct 20142:07 pmRNSFurther re Investment Portfolio as at 30 June 2014
23rd Sep 20142:33 pmRNSTransaction in Own Shares
1st Aug 201411:31 amRNSIssue of Equity
28th Jul 20143:22 pmRNSInterim Management Statement
22nd Jul 20141:10 pmRNSResult of AGM
27th Jun 20144:39 pmRNSTransaction in Own Shares
13th Jun 201410:01 amRNSAnnual Financial Report

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