Performance at Month End

HgCapital Trust plc("the Trust") All information is at 30 November 2012 and unaudited. Historical total return (with net income reinvested)performance at month end One month Three One Three Five Ten % months % year % years % years % years % p.a. p.a. p.a Net asset value 0.8% 1.9% 7.1% 12.3% 7.6% 15.4% (diluted) Net asset value (1.8%) (0.5%) 5.1% 12.6% 7.7% 15.5% (basic) Share price 0.3% 1.9% (1.0%) 7.8% 6.5% 19.3% FTSE All-Share 1.8% 3.9% 12.1% 8.7% 2.4% 8.1% Index Sources: HgCapital, Factset Financials as at 30 November 2012 Net asset value:* Diluted 1,183.8p Basic 1,191.7p Share price ordinary shares: 1,004.0p Ordinary share price discount to NAV 15.2% (diluted): Ordinary share price discount to NAV 15.8% (basic): Share price subscription shares: 38.8p Total net assets: £423.8m Net yield: 1.0% Market Capitalisation: £357.1m Gearing: Nil% Ordinary shares in issue: 35,564,185 Subscription shares in issue: 1,760,513 * includes 11 months net revenue of 31.90p The NAV is recalculated monthly with respect to cash, cash equivalents and quoted investments in the portfolio and foreign exchange movements on the unquoted investments. Unquoted investments were last revalued at 30 June 2012. Sector Total Assets % Technology & Media 38.7 Services 9.1 Healthcare 6.6 Industrials 7.7 Renewable Energy 4.4 Consumer & Leisure 3.4 Other 1.7 Cash and other liquid assets 28.4 100.0 Ten Largest Investments Company Total Assets Sector % VISMA 6.8 Technology & Media TeamSystem 6.3 Technology & Media IAS 6.0 Technology & Media Lumesse 4.5 Technology & Media Achilles 4.2 Technology & Media ATC 3.8 Services Group NBT 3.4 Technology & Media JLA 3.2 Services Epyx 3.0 Technology & Media Voyage 2.9 Healthcare 44.1 07 December 2012
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