Net Asset Value • Jan 30, 2024
Net Asset Value
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National Storage Mechanism | Additional information
THAMES VENTURES VCT 1 PLC**LEI: 213800R88MRC4Y3OIW86
**
NAV ANNOUNCEMENT
30 JANUARY 2024
In advance of the proposed allotment of shares under the dividend reinvestment scheme on 2 February 2024, the Board announces that the unaudited NAV as at 30 January 2024 was 48.8p per share.
For further information, please contact:
**Company Secretary
**Foresight Group LLP
Contact: Stephen Thayer Tel: 0203 667 8100
**Investor Relations
**Foresight Group LLP
Contact: Andrew James Tel: 0203 667 8181

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