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TRIPLE POINT VCT 2011 PLC Net Asset Value 2024

Feb 8, 2024

4890_nav_2024-02-08_0a2d523b-373f-4771-a8cd-abc4c6086f32.html

Net Asset Value

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National Storage Mechanism | Additional information

RNS Number : 5437C

Triple Point Venture VCT PLC

08 February 2024

8 February 2024

Triple Point Venture VCT plc

(the "Company")

Venture Share Class Net Asset Value

The Company announces that the unaudited NAV per Venture Share as at 31 December 2023 was 97.96 pence per share (as at 17 November 2023 the unaudited NAV was 97.32 pence per share).  

The increase in the Venture NAV reflects the net effect of a number of valuation changes for portfolio companies. In recent months, several portfolio companies have raised funding rounds at higher valuations. While downward fair-value adjustments have also been applied or increased to several portfolio companies that we judge to be running behind our expectations in the current challenging economic environment, the net effect of these changes is positive.

FOR FURTHER INFORMATION ON THE COMPANY, PLEASE CONTACT

Triple Point Investment Management LLP (Investment Manager) Tel: 020 7201 8989
Ian McLennan

 Belinda Thomas

The Company's LEI is 213800AOOAQA5XQDEA89

Further information on the Company can be found on its website 

https://www.triplepoint.co.uk/current-vcts/triple-point-venture-vct-plc/s2539/

NOTES:

The Company is a Venture Capital Trust incorporated in July 2010 and was established to fund small and medium sized enterprises. The Investment Manager is Triple Point Investment Management LLP.

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