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Market Cap: £144.12m
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Net Asset Value(s)

15 Jul 2022 14:00

Net Asset Value(s)

15 JULY 2022

 

NORTHERN 2 VCT PLC

 

UNAUDITED NET ASSET VALUE AS AT 30 JUNE 2022

 

Northern 2 VCT PLC (“the Company”) is a Venture Capital Trust (“VCT”) launched in 1999 and managed by Mercia Fund Management Limited. The Company’s objective is to provide high long-term tax-free returns to investors through a combination of dividend yield and capital growth, by investing in a portfolio of investments mainly comprising unquoted venture capital holdings. In order to maintain approval by HM Revenue & Customs as a VCT, the Company is required to comply on a continuing basis with the provisions of Section 274 of the Income Tax Act 2007.

 

The unaudited net asset value per ordinary share as at 30 June 2022 was 62.6 pence (31 March 2022 (audited) 64.4 pence).

 

For the purposes of calculating the net asset value per share, quoted investments are carried at bid price as at 30 June 2022 and unquoted investments are carried at fair value as at 30 June 2022 as determined by the directors.

 

 

New Investments:

During the three months ended 30 June 2022 two new venture capital investments were completed.

 

Name of company Business activity Amount invested £000
LMC SoftwareSocial care management software for care homes for the elderly or disabled820
Sen CorporationLive streaming of high quality video from space643
   

In addition to the new investments above, £967,000 was invested in three existing portfolio companies during the quarter.

 

 

Realisations:

During the three months ended 30 June 2022 two venture capital investments were realised.

 

Name of company Sale proceeds Original cost Carrying value at 31 March 2022
 £000£000£000
Knowledgemotion3,0401,7783,040
Ideagen (AIM quoted) – partial disposal1421487
    

 

The number of ordinary shares in issue at 30 June 2022 was 187,978,312. During the three months ended 30 June 2022 527,112 shares were re-purchased for cancellation at an average price of 61.2 pence per share and 25,597,510 shares were allotted pursuant to the Company’s 2021/22 public share offer at an average price (after issue costs) of 66.4 pence per share.

 

Enquiries:

James Sly / Graham Venables, Mercia Fund Management Ltd

Phone: 0330 223 1430

Website: www.mercia.co.uk

 

Neither the contents of the Mercia Asset Management PLC website, nor the contents of any website accessible from hyperlinks on the Mercia Asset Management PLC website (or any other website), are incorporated into, or form part of, this announcement.

 

 

Date   Source Headline
23rd Dec 20195:30 pmGNWStatement re Novation of investment management agreement
20th Dec 20194:00 pmGNWTransaction in Own Shares
6th Dec 20194:40 pmGNWStatement re Proposed joint offer for subscription
4th Dec 20194:00 pmGNWNotice of GM
3rd Dec 20197:06 amGNWProposed change in management arrangements
27th Nov 20193:00 pmGNWHalf-year report
12th Nov 20194:00 pmGNWHalf-year report
10th Oct 20191:00 pmGNWStatement re Intention to Fund Raise
30th Sep 20195:20 pmGNWTotal voting rights
27th Sep 20193:30 pmGNWTransaction in Own Shares
2nd Sep 201910:30 amGNWTotal voting rights
8th Aug 20194:00 pmGNWTransaction in Own Shares
31st Jul 20194:30 pmGNWTotal voting rights
19th Jul 201911:00 amGNWDirector/PDMR Shareholding
19th Jul 201910:00 amGNWIssue of Equity
16th Jul 20191:00 pmGNWNet Asset Value
11th Jul 20194:30 pmGNWResult of AGM
1st Jul 20194:00 pmGNWTotal voting rights
26th Jun 20196:00 pmGNWTransaction in Own Shares
11th Jun 201912:00 pmGNWAnnual Financial Report
31st May 20194:00 pmGNWTotal voting rights
21st May 20192:00 pmGNWTransaction in Own Shares
17th May 20198:30 amGNWAnnual Financial Report
2nd Apr 20195:20 pmGNWNotification of Transaction by Person Discharging Managerial Responsibilities (“PDMR”)
2nd Apr 20195:20 pmGNWNotification of Transaction by Person Discharging Managerial Responsibilities (“PDMR”)
2nd Apr 20195:20 pmGNWNotification of Transaction by Person Discharging Managerial Responsibilities (“PDMR”)
2nd Apr 201912:15 pmGNWIssue of Equity
1st Apr 20195:30 pmGNWTotal voting rights
27th Mar 201911:00 amGNWTransaction in Own Shares
28th Feb 20193:00 pmGNWTotal voting rights
18th Feb 20193:45 pmGNWNet Asset Value
1st Feb 20195:45 pmGNWTransaction in Own Shares
1st Feb 20198:00 amGNWTotal voting rights
25th Jan 20199:30 amGNWIssue of Equity
16th Jan 201910:30 pmGNWUpdate re Offer for subscription
4th Jan 201911:30 amGNWStatement re Offer for subscription
31st Dec 20183:00 pmGNWTotal voting rights
20th Dec 20181:00 pmGNWResult of Meeting
20th Dec 201811:45 amGNWTransaction in Own Shares
30th Nov 20182:00 pmGNWTotal voting rights
27th Nov 20183:00 pmGNWHalf-year report
23rd Nov 20183:30 pmGNWStatement regarding Top up offer
19th Nov 201810:00 amGNWTransaction in Own Shares
15th Nov 201810:00 amGNWTransaction in Own Shares
12th Nov 201812:30 pmGNWHalf-year report
28th Sep 20183:45 pmGNWTotal voting rights
28th Sep 20183:30 pmGNWTransaction in Own Shares
31st Jul 20188:30 amGNWTotal voting rights
12th Jul 20184:30 pmGNWResult of AGM
15th Jan 201010:59 amRNSTransaction in Own Shares

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