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OCTOPUS AIM VCT PLC Net Asset Value 2021

Dec 22, 2021

4774_rns_2021-12-22_d5565eb9-058d-4776-bd20-a7b680ba77c4.html

Net Asset Value

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National Storage Mechanism | Additional information

Octopus AIM VCT plc

22 December 2021

Net Asset Value

The Board of Octopus AIM VCT plc announces that as at 20 December 2021 the unaudited net asset value of the Ordinary shares was approximately 115.5 pence per share.

The net asset value is stated excluding an interim dividend of 2.5 pence per share. The interim dividend will be paid on 14 January 2022, to those shareholders on the register on 17 December 2021.

For further information, please contact:

Kate Tidbury

Octopus Investments Limited

Tel: 0800 316 2295