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Market Cap: £1.83b
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Net Asset Value(s)

8 Jan 2026 07:00

RNS Number : 0371O
Caledonia Investments PLC
08 January 2026
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Caledonia Investments plc

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Unaudited net asset value per share at 31 December 2025

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Caledonia Investments plc ("Caledonia") announces that its unaudited diluted net asset value per share ("NAV") as at 31 December 2025, calculated on a cum-income basis, was 556.0p.

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Year to date performance highlights:

Β· NAV total return ("NAVTR") was 3.2% and portfolio return was 3.5% (5.6% excluding foreign exchange movements). Since 1 April, foreign exchange resulted in a decrease in net assets of Β£54m

Β· Annualised NAVTR was 9.4% and 11.6% over 10 and five years respectively

Β· Β£26.6m of ordinary shares were repurchased for cancellation at a weighted average discount of 33% resulting in 2.5p accretion to NAV per share

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NAV as at 31 December 2025 was reduced by the interim dividend of Β£19m which will be paid on 8 January 2026.

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Caledonia's factsheet for the month of December 2025, is available here.

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Enquiries

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Company contacts

Caledonia Investments plc

+44 20 7802 8080

Mat Masters

Chief Executive Officer

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Rob Memmott

Chief Financial Officer

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Media contacts

Teneo

+44 20 7353 4200

Tom Murray

Robert Yates

caledonia@teneo.com

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8 January 2026

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END

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The monthly reported NAV per share, together with performance statistics and information on the valuation of principal investments, is available on Caledonia's website at www.caledonia.com.

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