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Pin to quick picksCrown Place Regulatory News (CRWN)

Share Price Information for Crown Place (CRWN)

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Crown Place VCT is an Investment Trust

To achieve long term capital and income growth by investing in broad portfolio of smaller, unquoted growth businesses across a variety of sectors including higher risk technology companies.

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Issue of Equity and Total Voting Rights

25 Mar 2024 10:16

Issue of Equity and Total Voting Rights

CROWN PLACE VCT PLC

Issue of Equity and Total Voting Rights

LEI Code 213800SYIQPA3L3T1Q68

The first allotment for the 2023/2024 tax year of new ordinary shares of nominal value 1 penny per share ("New Shares") in Crown Place VCT PLC (the “Company”) under the Albion VCTs Prospectus Top Up Offers 2023/24 (the “Offers”), (which opened for applications on 2 January 2024) took place on 22 March 2024.

Pursuant to the Prospectus, the Company offered an early bird discount of 1% on issue costs to existing shareholders and 0.5% on issue costs to new subscribers. These early bird discounts were available to investors who subscribed for New Shares for the first £10m across the five Albion VCTs participating in the Offers. The cost of these discounts is being borne by the Manager, Albion Capital Group LLP. The issue pricing of the New Shares has been structured to avoid any capital dilution to existing shareholders who do not participate in the Offers.

The Company has received valid applications for 4,136,204 New Shares which will be allotted at an issue price of 31.06 pence per share from existing shareholders and 870,543 New Shares allotted at an issue price of 31.22 pence per share for new subscribers, both of which qualified for the early bird discount. A further 18,334,011 New Shares will be allotted at an issue price of 31.38 pence per share (which did not qualify for the early bird discount). The total net proceeds receivable by the Company for these allotments is approximately £7.1 million.

Application has been made to the Financial Conduct Authority for 23,340,758 New Shares to be admitted to the Official List and to the London Stock Exchange for the New Shares to be admitted to trading on the London Stock Exchange's market for listed securities. The New Shares rank pari passu with the existing shares in issue.

It is expected that admission to the Official List will become effective and that dealings in the New Shares will commence on or around 25 March 2024.

The record date in respect of the dividend of 0.78 pence per share to be paid on 29 March 2024 was 8 March 2024, and as a result, the New Shares did not qualify for this dividend.

The Offers which constitute separate offers have been fully subscribed and all have been closed to further applications. The total amount raised across the Albion VCTs under the Offers is £60 million.

Following this allotment and in conformity with the provisions of DTR 5.6, the Company makes the following notifications in connection with the issued share capital of the Company:

The Company's capital as at 22 March 2024 consists of 349,855,874 ordinary shares with a nominal value of 1 penny each. The Company holds 45,787,992 ordinary shares in Treasury.

Therefore, the total number of voting rights in the Company is 304,067,882 which may be used by shareholders and other persons as the denominator for the calculations by which they will determine if they are required to notify their interest in, or a change to their interest in, the Company under the FCA's Disclosure Guidance and Transparency Rules.

For further information, please contact:

Vikash HansraniOperations PartnerAlbion Capital Group LLPCompany Secretary 020 7601 185025 March 2024

Date   Source Headline
17th Nov 200512:13 pmRNSStatement re Redmmnded Merger
17th Nov 200512:10 pmRNSStatement re Recmmnded Merger
15th Nov 20054:49 pmRNSInterim Results
11th Nov 200510:50 amRNSEPT Disclosure
9th Nov 200511:25 amRNSEPT Disclosure
3rd Nov 200510:06 amRNSEPT Disclosure
20th Oct 20059:02 amRNSEPT Disclosure
18th Oct 200510:35 amRNSEPT Disclosure
7th Oct 200510:07 amRNSEPT Disclosure
22nd Sep 20059:31 amRNSEPT Disclosure
21st Sep 200510:10 amRNSEPT Disclosure
20th Sep 20059:29 amRNSEPT Disclosure
6th Sep 20052:00 pmRNSResults of EGM and AGM
1st Sep 20059:03 amRNSEPT Disclosure
19th Aug 20059:51 amRNSEPT Disclosure
16th Aug 20055:51 pmRNSEPT Disclosure
16th Aug 20059:08 amRNSEPT Disclosure
10th Aug 200510:57 amRNSEPT Disclosure
10th Aug 20057:01 amRNSJoint Statement on Circulars
10th Aug 20057:01 amRNSJoint Statement on Circulars
10th Aug 20057:01 amRNSJoint Statement on Circulars
1st Aug 200510:02 amRNSEPT Disclosure
21st Jul 200510:38 amRNSEGM Requisition
21st Jul 200510:28 amRNSEGM Requisition
15th Jul 200510:05 amRNSEPT Disclosure
14th Jul 200510:21 amRNSEPT Disclosure
13th Jul 20059:37 amRNSEPT Disclosure
6th Jul 20055:26 pmRNSShareholder Letter
5th Jul 20059:30 amRNSEPT Disclosure
1st Jul 200510:00 amRNSEPT Disclosure
28th Jun 200510:17 amRNSEPT Disclosure
27th Jun 200510:21 amRNSEPT Disclosure
24th Jun 200510:54 amRNSFinal Results
23rd Jun 200512:42 pmRNSRule 2.10 Announcement
23rd May 20055:44 pmRNSShareholder Initiative
23rd May 20055:43 pmRNSShareholder Initiative
23rd May 20055:36 pmRNSShareholder Initiative
15th Apr 20053:51 pmRNSFurther re manager change
7th Apr 20059:32 amRNSChange of Manager
24th Mar 20054:23 pmRNSFund Management Arrangements
24th Mar 20054:19 pmRNSFund Management Arrangements
24th Mar 20054:17 pmRNSFund Management Arrangements
24th Mar 20054:14 pmRNSFund Management Arrangements
9th Feb 20059:27 amRNSBoard Change
9th Feb 20059:22 amRNSBoard Change
8th Feb 20059:09 amRNSManager Change - Replacement
8th Feb 20057:23 amRNSAnnouncement re: Murray VCTs
8th Feb 20057:01 amRNSManager Change
8th Feb 20057:01 amRNSManager Change
8th Feb 20057:00 amRNSManager Change

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