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Net Asset Value

17 Aug 2015 12:00

RNS Number : 2349W
Spark Ventures PLC
17 August 2015
 

SPARK Ventures plc

17 August 2015

 

Net Asset Value Announcement

Valuation Policy and NAV Publication

SPARK Ventures plc ("SPARK" or the "Company") announced that it intends to report an unaudited NAV statement on a weekly basis.

 

In respect of listed or publicly quoted investments, the Company will value such investments weekly according to their bid price as at the close of the relevant stock exchange each Friday, or otherwise the last business day of the week, unless a bid price is unavailable in which case the mid-market price on such day will be used. If this too is unavailable the Board of the Company shall be consulted to determine an appropriate basis for valuation of the relevant investment.

 

To the extent that the Company has invested in unquoted investments, such investments will be valued quarterly by the investment manager as at 5 p.m. London Time, on the last business day of the relevant quarter. The quarterly valuation will be carried forward weekly until the next quarterly valuation is available. The valuation will be done in accordance with the International Private Equity and Venture Capital Guidelines except in such circumstances where the Directors are of the opinion that the International Private Equity and Venture Capital Valuation Guidelines are not appropriate, in which case the Directors, in consultation with the investment manager, shall determine an appropriate alternative valuation method. The calculation of the estimated Net Asset Value will only be suspended in circumstances where the underlying data necessary to value the investments of the Company cannot readily, or without undue expenditure, be obtained. Details of any suspension in making such calculations will be announced through a Regulatory Information Service.

 

The NAV will be estimated weekly by the investment manager and published on a weekly basis, based on the most recent valuation of the portfolio and calculated in accordance with the methodology described above through a regulatory information service provider to the London Stock Exchange as soon as practicable after the end of the relevant period. In addition, the Company will publish an NAV per share for each month end, calculated on the last business day of the relevant month.

 

The NAV per share at the company's year end will be subject to audit by the Company's auditors, but otherwise will be unaudited.

 

NAV Update

As at 14 August 2015 the unaudited net asset value (NAV) per ordinary share was 987.80 pence, based on 3,687,504 ordinary shares with a nominal value of 50 pence each (the "Ordinary Shares"), being the Company's issued share capital of 3,843,275 Ordinary Shares less 155,771 Ordinary Shares held in treasury.

 

 

For further information, please contact:

SPARK Ventures plc

David Potter/

Andrew Betton

 

07711 450 391

Sapia Partners LLP

Investment Manager

 

 

 

Gerhard Grueter/

Paul Cowland

 

0207 104 2140

Gresham House plc

Investment Adviser

Anthony Dalwood

020 3837 6272

 

 

 

 

finnCap

(Nominated Adviser and Broker)

Matt Goode/

Emily Watts

 

020 7220 0500

Liberum

(Joint Broker)

Peter Tracey/

Neil Elliot/

Clayton Bush

020 3100 2000

 

 

 

Attila Consultants

(Financial PR)

Charles Cook/

Sorrel Davies

 

020 7947 4489 or 07710 910563 

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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