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TRIPLE POINT VCT 2011 PLC — Net Asset Value 2025
Jan 30, 2025
4890_nav_2025-01-30_33bce0aa-d515-46a6-afcd-dc348dfe7914.html
Net Asset Value
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RNS Number : 3355V
Triple Point Venture VCT PLC
30 January 2025
30 January 2025
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 2024 was 96.11 pence per share (as at 31 August 2024 the audited NAV was 97.61 pence per share).
The decrease in the NAV is as a result of a 2 pence per share dividend paid to shareholders in December 2024 and general running expenses of the Company, which have been partly offset by a net uplift to portfolio valuations.
FOR FURTHER INFORMATION ON THE COMPANY, PLEASE CONTACT
| Triple Point Investment Management LLP (Investment Manager) | Tel: 020 7201 8989 |
| Seb Wallace Jack Rose |
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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