27 May 2020 07:00
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HWSI Realisation Fund Limited
(the "Company")
Net Asset Value
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NAV
The Company announces that the unaudited cum-income net asset value per Ordinary Share as atΒ 30 April 2020Β wasΒ 61.57 pence. This represents a positive performance of 0.6% during the month of April.
Investment Update
The board and investment manager continue to monitor the effects of Covid19 on the Company's borrowers. During the month there were no additional forbearance requests, and no change to the Expected Credit Loss provisioning.
The net cash position as at 30 April 2020 was GBP 6.1m.
Subject to no further adverse affects caused by Covid1-19 or other unexpected matters, the board hopes to make a further return of capital by way of an issue of redeemable B shares by the end of the third quarter.
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Contact Details:
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Hadrian'sΒ Wall CapitalΒ (Investment Adviser)
Ron MiaoΒ /Β Mike Schozer
Telephone 020 3026 8620
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International Fund ManagementΒ (Investment Manager)
Chris Hickling
Telephone: 01481 737600
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Praxis Fund Services LimitedΒ (Administrator)
Ben Le Prevost
Telephone: 01481 755524
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Winterflood Investment Trusts (Corporate Broker)
Neil Morgan
Telephone: 020 3100Β 0000
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