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ALBION DEVELOPMENT VCT PLC

Net Asset Value Feb 23, 2023

4781_rns_2023-02-23_ca4d8763-098c-43a5-8de7-5e3848ca5561.html

Net Asset Value

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National Storage Mechanism | Additional information

Albion Development VCT PLC

LEI number: 213800FDDMBD9QLHLB38

NAV Announcement

Introduction

This announcement contains unaudited information. The audited Annual Report and Financial Statements for the year ended 31 December 2022 are expected to be released in March 2023. The final audited net asset value (“NAV”) may differ from this unaudited NAV.

Net asset value

The Board of Albion Development VCT PLC (the “Company”) announces that the unaudited net asset value (“NAV”) of the Company as at 31 December 2022 was £114.46 million or 88.65 pence per share (30 September 2022: 91.32 pence per share).

Fundraising update

In relation to the Albion VCTs Prospectus Top Up Offers 2022/23 dated 10 October 2022, the Company intends to allot shares on 24 February 2023 based upon the latest published NAV in accordance with the Pricing Formula set out in the Prospectus.

For further information please contact:

Vikash Hansrani

Operations Partner

Albion Capital Group LLP

Telephone: 020 7601 1850

23 February 2023

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