Downing ONE VCT plc
NAV and Portfolio Update
15 December 2014
Downing ONE VCT plc announces that its unaudited Net Asset Value and performance as at 30 November 2014 were as follows:
30 Nov 2014 pence | |
Net Asset Value per Share | 96.5 |
Cumulative distributions per Share since merger (12 Nov 2013) | 4.0 |
Total Return since merger (Net Asset Value plus cumulative dividends) | 100.5 |
As at 30 November 2014, the Company's unaudited investment portfolio is summarised as follows:
Venture Capital Investments | Valuation £'000 | % of net assets by value |
Blue Cedars Holdings Limited | 3,980 | 5.5% |
Tracsis plc* | 3,713 | 5.1% |
Accumuli plc* | 3,016 | 4.1% |
Baron House Developments LLP | 2,695 | 3.7% |
Cadbury House Holdings Limited | 2,457 | 3.4% |
Vulcan Renewables Limited | 2,415 | 3.3% |
Inland Homes plc* | 2,248 | 3.1% |
Mosaic Spa and Health Club Limited | 2,214 | 3.0% |
Ludorum plc* | 1,864 | 2.6% |
Science in Sport plc* | 1,837 | 2.5% |
Universe Group plc* | 1,830 | 2.5% |
Leytonstone Pub Limited | 1,771 | 2.4% |
UK Solar (Hartwell) LLP | 1,600 | 2.2% |
Anpario Group plc* | 1,471 | 2.0% |
Plastics Capital plc* | 1,466 | 2.0% |
Kidspace Adventure Holdings Limited | 1,362 | 1.9% |
Residential PV Trading Limited | 1,270 | 1.7% |
Sprue Aegis plc * | 1,232 | 1.7% |
Future Biogas (Reepham Rd) Limited | 1,123 | 1.5% |
Aminghurst Limited | 1,106 | 1.5% |
40,670 | 55.7% | |
Other venture capital investments (76 companies) | 27,112 | 37.2% |
Total investments | 67,782 | 92.9% |
Cash at bank and in hand | 5,235 | 7.2% |
Other net current assets | (47) | (0.1%) |
Net assets | 72,970 | 100.0% |
* Quoted on AIM. | ||
All other investments unquoted. |
The unaudited balance sheet as at 30 November 2014 is summarised as follows:
£'000 | |
Fixed Assets | |
Venture Capital Investments | 67,782 |
Current Assets | |
Debtors | 504 |
Bank | 5,235 |
5,739 | |
Current Liabilities | |
Creditors | (551) |
Net Current Assets | 5,188 |
Net Assets | 72,970 |
Represented by: | |
Ordinary shares 1p each | 754 |
Unalloted share capital | 181 |
Capital reserve -unrealised | (4,179) |
Share premium account | 64,307 |
Special reserve | 9,665 |
Capital redemption reserve | 1,488 |
Revenue reserve | 754 |
72,970 |