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Capital Partners S.A.

Net Asset Value Dec 9, 2020

5550_rns_2020-12-09_036902c7-7a9a-4f2b-8242-e4bb72369d86.html

Net Asset Value

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National Storage Mechanism | Additional information

JZ Capital Partners Ltd - Net Asset Value(s)

PR Newswire

London, December 9

JZ CAPITAL PARTNERS LIMITED (the "Company" or “JZCP”)

(a closed-ended investment company incorporated with limited liability under the laws of Guernsey with registered number 48761)

LEI 549300TZCK08Q16HHU44

Monthly Net Asset Value (“NAV”)

The unaudited Net Asset Value per Ordinary Share of the Company as at the close of business on 31stOctober 2020 was as follows:

Company Name Date NAV per Ordinary Share
JZ Capital Partners Limited 31st October 2020 US$ 4.51

JZCP’s NAV at 31 October 2020 is $4.51 per share ($4.60 at 31 August 2020), the decrease in NAV per share of (9) cents per share is due to net investment losses of (5) cents and expenses and finance costs of (9) cents offset by accrued income of 3 cents, net fx gains of 1 cent and the change in the fair value of the Company's CULS of 1 cent

The Company has completed the sale of its interests in certain US micro-cap portfolio companies (the "Secondary Sale”). The Secondary Sale is structured as a sale and contribution to a newly formed fund, JZHL Secondary Fund LP. On Closing on 4thDecember 2020 the Company received: (i) Cash Consideration, being $90 million (less any fees and expenses); and (ii) a special limited partner interest in the newly formed fund which will initially be valued at approximately $40 million. Adding this figure to the cash consideration of $90 million (less any fees and expenses) would indicate a write down to the Company’s October NAV of approximately $38 million (49 cents). This write down is not reflected in the 31 October 2020 NAV.

Enquiries:                    

Company website:         www.jzcp.com

Northern Trust International Fund Administration Services (Guernsey) Limited

Email:  [email protected]

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