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8I HOLDINGS LTD — Net Asset Value 2021
Dec 12, 2021
64264_rns_2021-12-12_d9a7d7d2-646a-44ef-b713-56a26080c39a.pdf
Net Asset Value
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8I Holdings Limited Co Regn No: 201414213R 1557 Keppel Road, #01-01 Singapore 089066 www.8iholdings.com
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ASX ANNOUNCEMENT / MEDIA RELEASE
For Immediate Release
8IH – MONTHLY NET TANGIBLE ASSET PER SHARE PERIOD ENDING 30 NOVEMBER 2021
13 December 2021, Singapore
8I Holdings Ltd (ASX: 8IH ) (“ 8IH ” or the “ Company ”) advises that the NTA per share as of 30 November 2021 is S$0.1032 (A$0.1056 based on A$1:S$0.9779*) pre-tax and S$0.1030 (A$0.1053) post-tax.
The Company continues to follow its Value Investing methodology.
The team at 8IH continues to evaluate opportunities in public listed companies, financial education and financial technology.
All figures in the release are unaudited and they are subject to external review by the Company’s auditor.
*Based on Monetary Authority of Singapore Daily Exchange Rates for 30 November 2021
ENDS
For further information, please contact [email protected]
8I Holdings Limited Co Regn No: 201414213R 1557 Keppel Road, #01-01 Singapore 089066 www.8iholdings.com
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Authorised by: The 8IH Board
Media Enquiries:
Louis Chua Goh Yi Lin / Sua Xiu Kai Company Secretary (Australia) Investor Relations 8I Holdings Ltd 8I Holdings Ltd [email protected] [email protected]
About 8I Holdings Limited
8I Holdings Limited (“ 8IH ” or “the Group”) is an Australian-listed investment holding company engaged in the businesses of Financial Education Technology (“FinEduTech”) and Financial Asset Management.
Through 8VI Holdings Ltd (“ 8VI ”) the Group operates under the VI brand within the FinEduTech space. With offices in Singapore, Malaysia, Taiwan and Shanghai, VI is the region’s leading FinEduTech provider supporting a community of value investors from 29 cities globally. The VI App is a smart stock analysis and screening tool infused with a social networking element to enable users to invest smarter, faster and easier.
Through VI Fund Management Pte Ltd (“VI Fund”), the Group operates a registered fund management business in Singapore, investing in public listed equities in the United States and Asia-Pacific region. VI Fund’s focused strategy involves a research-driven and systematic stock selection process refined over the years and centers around investing in Growth Businesses with favourable industry dynamics over the mid to long term.