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THAMES VENTURES VCT 1 PLC

Net Asset Value Sep 1, 2023

4756_rns_2023-09-01_ae7f94b9-2122-4e73-be8c-96ef19fda496.html

Net Asset Value

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National Storage Mechanism | Additional information

1st September 2023

Thames Ventures VCT 1 Plc

(the “Company”)

(CRN: 03150868)

LEI: 213800R88MRC4Y3OIW86

NAV Update

Thames Ventures VCT 1 Plc is pleased to announce that its unaudited NAV at 30 June 2023 was 51.2p per ordinary share.

For further information please contact:

Steven Thayer, Foresight Group: 0203 667 8104

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