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Pin to quick picksMineral & Fin Regulatory News (MAFL)

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Unaudited Quarterly Net Asset Value

15 Feb 2022 07:00

RNS Number : 6518B
Mineral & Financial Invest. Limited
15 February 2022
 

MINERAL AND FINANCIAL INVESTMENTS LIMITED

Unaudited Quarterly Net Asset Value

 

NAV as at the 30 September 2021 (Q1-2022) was 18.6p, up 18.0% year over year

 

George Town, Cayman Islands - 15 February 2022 - Mineral and Financial Investments Limited (LSE-AIM: MAFL) ("M&FI" or "MAFL" or the "Company") is pleased to provide an unaudited quarterly update of its Unaudited Financial Performance and its Net Asset Value for the quarter ending September 30, 2021. At the end of the third quarter, the NAV was £6,662,892, up 18.0%, from £5,568,940 one year ago. The Net Asset Value Per Share was 18.6p at the end of the Q1-2022 period, up 17.9% year over year. Unaudited net earnings for the quarter ending September 30, 2022 were £131,615 or 0.38p per share. The Company's working capital at the period end was £6,662,892[1].

 

The following is a summary of the NAV, updated to include this unaudited NAV calculation:

NAV SUMMARY OF HISTORICAL PERFORMANCE

(Table 1)

 

30 Sept. 2016

30 Sept. 2017

30 Sept. 2018

30 Sept. 2019

30 Sept. 2020

30 Sept. 2021

2021/2020 % Change

2021/2016 CAGR (%)

Net Asset Value

£1,597,606

£2,471,771

£2,420,184

£5,346,041

£5,568,940

£6,662,892

18.0%

33.3%

NAVPS[2] (FD)

6.5p

6.9p

7.5p

15.1p

15.8p

18.6p

17.9%

23.4%

FTSE 350 Mining Index

12,713

16,547

17,707

18,135

18,180

19,257

5.9%

8.7%

GS Commodity Index

364.5

399.3

486.3

403.6

350.2

557.7

59.3%

8.9%

 

The Company's year-on-year NAVPS growth of 17.9%, although still strong, was lower than the five-year average CAGR of 23.4% due to a 4.2% increase of the Pound Sterling vs US dollar exchange rate and a 6.6% decrease in the U.S.-dollar gold price. Precious metals were generally weak in the period. Alternatively, base metals were up as at September 30, 2021 on a year-on-year basis.

 

 

PORTFOLIO COMPOSITION

(Table 2)

Commodity Class

Q1-2022

(£)

Q1-2022

(%)

Cash

£619,625

9.1%

Precious Metals

£2,827,425

41.6%

Base Metals

£2,873,381

42.3%

Energy

£201,934

3.0%

Tech. & Financial Derivatives

£276,379

4.1%

 

£6,798,743

100%

 

 

FOR MORE INFORMATION:

Jacques Vaillancourt, Mineral & Financial Investments Ltd. +44 780 226 8247

Katy Mitchell and Ben Good, WH Ireland Limited +44 207 220 1666

Jon Belliss, Novum Securities Limited +44 207 382 8300


[1] Current Assets of £6,820,717 less Current Liabilities of £157,825 = Working Capital of £6,662,892

[2] The NAV calculation is unaudited and is made on the basis that the Company has 35,135,395 shares. O/S (basic) and 35,465,395 shares. O/S (FD) in issue.

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END
 
 
NAVVZLFFLLLLBBD
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