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Interim Management Statement

9 Jul 2015 14:32

RNS Number : 6509S
TP10 VCT Plc
09 July 2015
 



 

 

 

 

 

TP10 VCT plc

 

9 July 2015

 

Interim Management Statement for the quarter ended 31 May 2015

 

Highlights

 

· The Net Asset Value at 31 May 2015 was 92.52p per share.

· After the period end, on 19 June 2015, a further dividend of 4.32p per share was paid bringing the total dividends paid to 17.63p per share.

· 82% of the Company's portfolio was invested in qualifying investments

· The unquoted qualifying investment portfolio by sector at 31 May 2015 was:

 

Anaerobic Digestion 10%

Cinema Digitisation 25%

Hydro Project Management 4%

Landfill Gas 3%

Solar PV 58%

 

· During the period the solar PV companies in which the Company invested disposed of a significant part of their portfolios of roof-mounted solar systems. The disposal resulted in an up-lift to the valuation of these investee companies of an aggregate £3 million, equivalent to 9.86p per share, which was recognised at 28 February 2015. After the period end the Company has sold all but one of these investments.

· In June, the Company completed the sale of its investment in two Anaerobic Digestion companies for £2.6 million resulting in an up-lift to the valuation of £346,000, equivalent to 1.15p per share.

· The shareholders have held their shares for the five years required to secure up-front Tax relief. Both the Board and Investment Manager are planning to return funds to shareholders as soon as practical.

· A total return to shareholders of 106.66p per share is made up of:

 

Net asset value at 31 May 2015 92.52p

Dividends paid during the period up to 31 May 2015 13.31p

Up-lift on the sale of Anaerobic Digestion companies 1.06p

Less: Provision (0.23p)

 

 

Net Assets at 31 May 2015:

 

30-May-15

28-Feb-15

31-Aug-14

Unaudited

Audited

Unaudited

£'000

% investments

£'000

% investments

£'000

% investments

VCT qualifying unquoted investments

22,864

81.69%

24,320

86.80%

21,316

84.23%

3,708

13.25%

3,636

12.98%

3,933

15.54%

VCT non qualifying unquoted investments:

Cash and cash equivalents

1,418

5.07%

62

0.22%

58

0.23%

Total Investments

27,990

100.00%

28,018

100.00%

25,307

100.00%

Other assets & liabilities

(116)

(85)

59

Net assets

27,874

27,933

25,366

Net asset value per share

92.52p

92.72p

84.20p

 

 

For further information, please contact Claire Ainsworth at Triple Point Investment Management LLP on 0207 201 8989.

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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