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SURE VENTURES PLC

Net Asset Value Nov 25, 2021

4993_rns_2021-11-25_383e9b05-7e41-4ee4-a514-443baa3f4188.html

Net Asset Value

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National Storage Mechanism | Additional information

RNS Number : 5897T

Sure Ventures PLC

25 November 2021

SURE VENTURES PLC / ISIN: GB00BYWYZ460 / Ticker: SURE / Market: SFS / Sector: Investment

Sure Ventures plc ('Sure Ventures' or 'the Company')

Net Asset Value as at 30th Sep 2021

Sure Ventures Plc, a venture capital fund which invests in early stage software companies in the rapidly growing Augmented Reality ('AR'), Virtual Reality ('VR'), Internet of Things ('IoT') and Artificial Intelligence ('AI') sectors, is pleased to announce its unaudited, estimated NAV per share for the period up to the 30th September 2021

The previously published NAV as at the 30th of June 2021 was 108.44p and at the close of business on the 30th September 2021 was 107.22p. This represents a 1.12% decrease during the quarter.

For further information, please visit www.sureventuresplc.com or contact:

Gareth Burchell Sure Ventures plc +44 (0) 20 7186 9918

Notes to Editors

Sure Ventures plc listed on the London Stock Exchange in January 2018 giving retail investors access to an asset class that is usually dominated by private venture capital funds.  Sure Ventures is focusing on companies in the UK, Republic of Ireland and other European countries, making seed and series A investments in companies with first rate management teams, products which benefit from market validation with target revenue run rates of at least £400,000 over the next 12 months.  Website: https://www.sureventuresplc.com/

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