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Net Asset Value(s)

16 Jan 2020 15:08

RNS Number : 0767A
Triple Point VCT 2011 PLC
16 January 2020
 

16 January 2020

Triple Point VCT 2011 plc

(the "Company")

NET ASSET VALUES FOR THE QUARTER ENDED 30 NOVEMBER 2019

The Company

The Company's funds at 30 November 2019 were invested in a portfolio of VCT qualifying and non-qualifying unquoted investments.

The Venture Fund is progressing in deploying its funds, with 7 qualifying investments made as at 30 November 2019, totalling £2.55m.

A further £0.5m was invested into a qualifying company following the period end in December 2019.

A Share Class

·; The Net Asset Value at 30 November 2019 was 84.36p per share.

·; During the 9-month period to 30 November 2019 the A Share Class made a profit of 1.38p per share.

·; A Special dividend of 23.50p per share was paid on 29 November 2019 bringing the total dividends paid to date to 35.25p.

·; Net Asset Value plus dividends (Total Shareholder Return) was 119.61p per share.

·; The table below shows the A Shares unquoted investment portfolio by sector at 30 November 2019:

 

Hydro-electric power

62%

SME funding: Hydro-electric power

21%

SME funding: Other

17%

 

B Share Class

·; The Net Asset Value at 30 November 2019 was 100.88p per share.

·; During the 9-month period to 30 November 2019 the B Share Class made a small loss of 0.22p per share.

·; On 27 June, the B Share Class paid its first dividend to shareholders of 5.00p per share.

·; Net Asset Value plus dividends (Total Shareholder Return) was 105.88p per share.

·; The table below shows the B Shares unquoted investment portfolio by sector at 30 November 2019:

 

Gas power

80%

SME funding: Other

20%

 

Venture Share Class

·; The Net Asset Value at 30 November 2019 was 99.01p per share.

·; During the 9-month period to 30 November 2019 the Venture Share Class made a loss of 1.17p per share.

·; During December the Venture Share fund made a £0.5m investment into an 8th qualifying company, meaning that around 44% of Venture Share Class funds raised in 2019 had been deployed into qualifying investments as at the date of this update.

·; The table below shows the Venture Funds unquoted investment portfolio by sector at 30 November 2019:

 

 

Software as a service (SaaS)

51%

Telecoms

10%

Fintech

23%

SME funding: Other

16%

 

Net Assets at 30 November 2019:

30-Nov-19

Unaudited

A Shares

B Shares

Venture Shares

Total

£'000

£'000

£'000

£'000

VCT qualifying unquoted investments

4,755

5,513

2,550

12,818

VCT non-qualifying unquoted investments

2,944

1,386

490

4,820

Cash and cash equivalents

86

6

3,874

3,966

Total Investments

7,785

6,905

6,914

21,604

Other assets & liabilities

610

(37)

(71)

502

Net assets

8,395

6,868

6,843

22,106

Net asset value per share

84.36

100.88

99.01

n/a

 

Net Assets at 28 February 2019:

28-Feb-19

Audited

A Shares

B Shares

Venture Shares

Total

£'000

£'000

£'000

£'000

VCT qualifying unquoted investments

7,005

5,513

-

12,518

VCT non-qualifying unquoted investments

3,097

1,726

-

4,823

Cash and cash equivalents

3

43

-

46

Total Investments

10,105

7,282

-

17,387

Other assets & liabilities

890

(39)

-

851

Net assets

10,995

7,243

-

18,238

Net asset value per share

110.49

106.10

0.00

n/a

 

 

 

FOR FURTHER INFORMATION ON THE COMPANY, PLEASE CONTACT:

Triple Point Investment Management LLP

(Investment Manager)

Tel: 020 7201 8989

Ben Beaton

Belinda Thomas

Harry Penberthy

 

The Company's LEI is 213800AOOAQA5XQDEA89

 

Further information on the Company can be found on its website https://www. https://www.triplepoint.co.uk/current-vcts/triple-point-vct-2011-plc/s2539/.

 

NOTES:

The Company is a Venture Capital Trust incorporated in July 2010. The Investment Manager is Triple Point Investment Management LLP. The Company was established to fund small and medium sized enterprises (SMEs). The Company launched a new share class, known as The Venture Fund, in March 2019 which is mandated to invest in SMEs producing products or digital services that solve challenges faced by their larger corporate customers.

 

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.
 
END
 
 
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