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57.50    0.00 (0.00%)
Bid:
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Spread: 3.00 (5.357%)
Market Cap: £174.01m
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ProVen VCT plc: Interim Management Statement

21 Jan 2020 08:00



ProVen VCT plc: Interim Management Statement

ProVen VCT plcInterim Management Statement for the three months ended 30 November 2019

ProVen VCT plc (the “Company”) presents an Interim Management Statement for the three month period ended 30 November 2019. The statement also includes relevant financial information between the end of the period and the date of this announcement.

Performance

Unaudited30 November 2019Unaudited31 August 2019Unaudited31 May 2019Audited28 February2019
 PencePencePencePence
Net Asset Value per share (“NAV”)73.676.481.282.2
Dividends paid to date*68.2566.2563.7563.75
NAV plus dividends paid to date141.85142.65144.95145.95

*Dividends paid represent dividends paid since the consolidation of 5p Ordinary Shares into 10p Ordinary Shares in October 2012. Prior to this date, the Company paid dividends totalling 113.95p on the 5p Ordinary Shares.

Dividends paid or declaredOn 5 November 2019, the Company announced an interim dividend for the year ended 29 February 2020 of 2.0p per share. This dividend was paid on 6 December 2019 to shareholders on the register at 15 November 2019.

Investment portfolio summary at 30 November 2019

Portfolio summary

 Valuation
Venture capital investments£’000
Infinity Reliance Limited (t/a My 1st Years)5,172
Mycs GmbH4,197
Litchfield Media Limited4,194
Poq Studio Limited3,986
Access Systems, Inc.3,500
Zoovu Limited (t/a Smart Assistant)3,467
Written Byte Limited (t/a DeepCrawl)3,373
Thread, Inc.3,354
Monica Vinader Limited3,342
Festicket Limited3,248
Other investments30,306
 68,139
  
Cash at bank43,569
Other net current assets(956)
  
Net Assets110,752

Quoted investments are valued at the closing bid price at 30 November 2019, discounted where appropriate. Unquoted investments are valued at fair values established using the International Private Equity and Venture Capital Valuation Guidelines.

Investment activity during the three month period ended 30 November 2019

Investment additions

There were no investment additions in the period.

Investment disposals

  CostMarket value at 1 September 2019DisposalproceedsGainagainstcostRealisedgain in period
 £’000£’000£’000£’000£’000
Think Limited*--1,3591,3591,359
Rapid Charge Grid Limited**1,0501,0501,050--
Monmouth Holdings Limited**1,0001,0001,000--
MatsSoft Limited***--211211211
      
 2,0502,0503,6201,5701,570

* Disposal proceeds represent contingent proceeds. ** Loan note disposal.*** Disposal proceeds represent contingent proceeds, including consideration in the form of shares in Netcall plc.

Investment activity from 1 December 2019 to the date of this announcement

 £’000
Our Path Ltd1,200
Festicket Ltd384
 1,584

Investment disposals from 1 December 2019 to the date of this announcement

  CostMarket value at 1 December 2019 DisposalproceedsGainagainstcostRealisedgain in period
 £’000£’000£’000£’000£’000
Monmouth Holdings Limited*100100100--
      
 100100100--

* Loan note disposal.

Changes to share capitalOrdinarySharesof 10p each
As at 1 September 2019151,054,397
Shares bought back during the 3 months to 30 November 2019(578,698)
Shares issued during the 3 months to 30 November 2019-
As at 30 November 2019150,475,699

In the period from 1 December 2019 to the date of this announcement, 256,568 Ordinary Shares were repurchased and subsequently cancelled.

In addition, 678,894 Ordinary Shares were issued under the Company’s Dividend Reinvestment Scheme in relation to the dividend paid on 6 December 2019.

Material eventsProVen VCT plc and ProVen Growth and Income VCT plc (together the “Companies” and each being a “Company”) announced on 11 November 2019 their intention to launch a combined Offer for Subscription to raise up to £20 million (with each Company intending to raise up to £10 million) by way of an issue of new ordinary shares in the Companies, with an over-allotment facility of up to a further £20 million in aggregate (being a facility of up to £10 million for each Company).

Other than the matters described above, there were no material events during the period from 1 September 2019 to 30 November 2019 or in the period from 1 December 2019 to the date of this announcement.

Further informationFurther information regarding the Company, can be found on Beringea's dedicated VCT website: www.provenvcts.co.uk or by contacting Beringea, the Investment Manager at provenvcts@beringea.co.uk or by telephone 020 7845 7820.

Beringea LLPCompany SecretaryTelephone 020 7845 7820-End


Date   Source Headline
22nd Apr 20252:53 pmGNWExtension of 2025/2026 Offer
9th Apr 20254:53 pmGNWProVen VCT plc: Allotment update
4th Apr 202511:46 amGNWProVen VCT plc: Issue of Equity
3rd Apr 202512:22 pmGNWProVen VCT plc: Issue of Equity
1st Apr 202510:30 amGNWProVen VCT plc: Total voting rights
28th Mar 202512:15 pmGNWProVen VCT plc: Issue of Equity
17th Mar 20251:53 pmGNWProVen VCT plc: Director/PDMR Shareholding
17th Mar 20251:32 pmGNWProVen VCT plc: Issue of Equity
3rd Mar 202512:02 pmGNWProVen VCT plc: Total voting rights
27th Feb 20254:35 pmGNWProVen VCT plc: Transaction in Own Shares
3rd Feb 20252:02 pmGNWProVen VCT plc: Total voting rights
30th Jan 20253:35 pmGNWProVen VCT plc: Interim Management Statement
20th Jan 20254:36 pmGNWProVen VCT plc: Director/PDMR Shareholding
20th Jan 20254:31 pmGNWProVen VCT plc: Issue of Equity
2nd Jan 20253:14 pmGNWProVen VCT plc: Total voting rights
5th Dec 20243:47 pmGNWProVen VCT plc: Issue of Equity
2nd Dec 202410:02 amGNWProVen VCT plc: Total voting rights
28th Nov 20244:30 pmGNWProVen VCT plc: Transaction in Own Shares
22nd Nov 20242:16 pmGNWProVen VCT plc: Half-yearly report
6th Nov 20243:08 pmGNWProVen VCT plc: Statement re. Offer for Subscription
5th Nov 20245:00 pmGNWProVen VCT PLC: Dividend Declaration
1st Nov 20243:46 pmGNWProVen VCT plc: Total voting rights
11th Oct 20243:41 pmGNWProVen VCT plc: Issue of Equity and Closure of Offer for Subscription
2nd Oct 20244:26 pmGNWProVen VCT plc: Total voting rights
6th Sep 20249:48 amGNWProVen VCT plc: Total voting rights
30th Aug 20244:29 pmGNWProVen VCT plc: Transaction in Own Shares
23rd Aug 20243:15 pmGNWProVen VCT plc: Intention to Fundraise
16th Aug 20244:00 pmGNWProVen VCT plc: Director/PDMR Shareholding
16th Aug 20244:00 pmGNWProVen VCT plc: Issue of Equity
13th Aug 202412:27 pmGNWProVen VCT plc: Publication of a supplementary prospectus
1st Aug 20244:22 pmGNWProVen VCT plc: Transaction in Own Shares
1st Aug 202410:29 amGNWProVen VCT plc: Total voting rights
23rd Jul 20242:24 pmGNWProVen VCT plc: Directorate change
17th Jul 20245:17 pmGNWProVen VCT plc: Result of AGM
17th Jul 20244:59 pmGNWProVen VCT plc: Interim Management Statement
3rd Jul 20246:16 pmGNWProVen VCT plc: Issue of Equity
3rd Jul 20249:36 amGNWProVen VCT plc: Total voting rights
20th Jun 20245:16 pmGNWProVen VCT plc: Transaction in Own Shares
11th Jun 20243:42 pmGNWProVen VCT plc: Annual Financial Report
10th Jun 20244:37 pmGNWExtension of 2024/2025 Offer
1st May 20245:05 pmGNWProVen VCT plc: Total voting rights
26th Apr 20243:10 pmGNWProVen VCT plc: Issue of Equity
24th Apr 20241:43 pmGNWProVen VCT plc: Extension of 2024/2025 Offer
5th Apr 20243:57 pmGNWProVen VCT plc: Issue of Equity
2nd Apr 20244:15 pmGNWProVen VCT plc: Issue of Equity
28th Mar 20241:49 pmGNWProVen VCT plc: Total voting rights
13th Mar 20244:10 pmGNWProVen VCT plc: Issue of Equity
1st Mar 20241:26 pmGNWProVen VCT plc: Total voting rights
29th Feb 20244:49 pmGNWProVen VCT plc: Transaction in Own Shares
1st Feb 20244:00 pmGNWProVen VCT plc: Total voting rights

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