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Net Asset Value(s)

24 Feb 2022 13:30

Net Asset Value(s)

Oxford Technology VCT Plc – NAV Update

Oxford Technology VCT Plc (“OT1”) announces an update to the unaudited Net Asset Value (“NAV”) of the Company from the third quarter figures issued to 30 November 2021 based on movements in its AIM quoted investments and an estimate of running costs.

As at 23 February 2022 the NAV has fallen by 16% from 50.3p to 42.2p.

The share prices of both quoted stocks has fallen - Arecor Therapeutics Plc (380p to 350p) and Scancell Holdings Plc (“Scancell”) (20p to 13p).

The valuations of the other holdings have been left unchanged for the purposes of this NAV update. Fuller results for the 12 month period ending on 28 February 2022 will be announced in due course.

Shareholders should note that for every 1p share change in Scancell’s bid price, the NAV moves by about 1p per OT1 share.

The total number of ordinary shares in issue is 5,431,655.

This announcement contains inside information as stipulated under the UK version of the Market Abuse Regulation No 596/2014 which is part of English Law by virtue of the European (Withdrawal) Act 2018, as amended. Upon the publication of this announcement via a Regulatory Information Service, this information is now considered to be in the public domain.

24 February 2022

Enquiries: Lucius Cary Oxford Technology Management 01865 784466

LEI: 213800TXRQEIU31IP105

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15th Oct 20082:09 pmRNSInterim Results
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8th May 20072:40 pmRNSFinal Results
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20th Oct 20054:13 pmRNSInterim Results
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6th May 20054:21 pmRNSPreliminary Statement
22nd Feb 20054:37 pmRNSUpdate Re Net Asset Value
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