Skip to main content

AI assistant

Sign in to chat with this filing

The assistant answers questions, extracts KPIs, and summarises risk factors directly from the filing text.

Molten Ventures PLC Net Asset Value 2021

Nov 11, 2021

4951_rns_2021-11-11_275eb935-35da-4f30-b917-2e4ff62e379d.html

Net Asset Value

Open in viewer

Opens in your device viewer

National Storage Mechanism | Additional information

Draper Esprit VCT plc (“the Company”)

LEI: 2138003I9Q1QPDSQ9Z97

Net Asset Value and portfolio

11 November 2021

The Company announces that its unaudited Net Asset Value (NAV), as at 30 September 2021, was 61.0p per Ordinary Share.

The unaudited investment portfolio and balance sheet of the Company, as at 30 September 2021, were as follows:

Cost Valuation

30 September 2021 (unaudited)
Valuation movement since

31 March 20
21
% of

portfolio
by value
£’000 £’000 £’000
Ten largest venture capital investments (by value)
Access Intelligence plc* 2,586 12,115 1,326 13.6%
Back Office Technology Limited 1,420 7,955 5,546 9.0%
Fords Packaging Topco Limited 2,433 6,878 - 7.7%
Endomagnetics Limited 2,147 5,652 1,008 6.4%
Thought Machine Group Limited 2,400 4,025 1,625 4.5%
Lyalvale Express Limited 1,915 3,999 2,571 4.5%
IESO Digital Health Limited 1,900 3,302 2,352 3.7%
StreetTeam Software Limited 2,820 2,530 2,211 2.9%
Freetrade Limited 600 2,367 - 2.7%
Evonetix Limited 1,485 1,882 - 2.1%
19,706 50,705 16,639 57.1%
Other venture capital investments
Ravelin Technology Limited 1,133 1,879 746 2.1%
Macranet Limited 1,187 1,187 778 1.3%
Roomex UK Limited 1,081 1,104 (70) 1.2%
Crowdcube Limited 400 1,013 264 1.1%
PrimaryBid Limited 950 950 - 1.1%
River Lane Research Limited 901 901 - 1.0%
United Authors Publishing Limited 542 885 65 1.0%
Fulcrum Utility Services Limited* 386 691 (370) 0.8%
Focal Point Positioning Limited 600 600 - 0.7%
Hadean Supercomputing Limited 400 583 183 0.7%
Sweepr Technologies Limited 515 526 - 0.6%
Other investments 12,853 1,767 (660) 2.0%
20,948 12,086 936 13.6%
40,654 62,791 17,575 70.7%
Cash at bank and in hand 26,045 29.3%
Total investments 88,836 100.0%

* Quoted on AIM

Unaudited Balance Sheet

As at 30 September 2021

30 Sep

2021

(unaudited)
31 Mar

2021

(audited)
£’000 £’000
Fixed assets
Investments 62,791 44,756
Current assets
Debtors 7 78
Cash at bank and in hand 26,045 10,659
26,052 10,737
Creditors: amounts falling due within one year (99) (81)
Net current assets 25,953 10,656
Net assets 88,744 55,412
Capital and reserves
Called up share capital 7,275 5,537
Capital redemption reserve 728 659
Share premium account 36,438 18,321
Merger reserve 1,828 1,828
Special reserve 12,041 15,463
Capital reserve – unrealised 31,052 14,159
Capital reserve – realised - -
Revenue reserve (618) (555)
Total equity shareholders’ funds 88,744 55,412
Basic and diluted net asset value per share 61.0p 50.0p