Portfolio Update and Net Asset Values

Portfolio Update and Net Asset Values

Thames Ventures V CT 2 plc
LEI: 21380035MV1VRYEXPR95
Unaudited Portfolio Update Net Asset Values as at 31 August 20 22
12 October 2022

Thames Ventures VCT 2 plc (“the Company”) announces that the unaudited Net Asset Values of its share classes, as at 31 August 2022 were as follows:

  Pence per share
Generalist Ordinary Share 70.0
Healthcare Ordinary Share 7 8.4
AIM Ordinary Shares 99.3
DSO D Share 2.6
DP67 Ordinary Share 27.9


The unaudited Balance Sheet of the Company is shown below, followed by a summary of the investments held by each share pool.

UNAUDITED BALANCE SHEET as at 31 August 2022

  As at

31 August

20 22
  As at

31 March

20 22
  £’000   £’000
       
Fixed assets      
Investments 48,175   49,141
       
Current assets      
Debtors 2,050   4,317
Cash at bank and in hand 12,587   8,384
  14,637   12,701
       
Creditors: amounts falling due within one year (532)   (965)
       
Net current assets 14,105   11,736
       
Net assets 62,280   60,877
       
8BCapital and reserves      
Called up Share capital 119   113
Capital redemption reserve 58   58
Special reserve 24,259   24,063
Share premium account 31,727   29,284
Funds held in respect of shares not yet allotted 11   7
Revaluation reserve 5,687   6,995
Capital reserve – realised 3,947   3,769
Revenue reserve (3,528)   (3,412)
       
Total equity shareholders’ funds 62,280   60,877
       

UNADUITED PORTFOLIO SUMMARIES as at 31 August 2022





Ventures Share pool




Cost




Valuation


% of

portfolio
  £’000 £’000  
Venture Capital investments      
Cornelis Networks, Inc. 1,402 2,431 6.4%
Virtual Class Limited (Third Space Learning) 1,053 2,302 6.0%
Rated People Limited 1,382 1,895 5.0%
Hackajob Limited 784 1,787 4.7%
Imagen Limited 1,000 1,763 4.6%
CommerceIQ Limited 1,749 1,749 4.6%
Ayar Labs, Inc. 764 1,646 4.3%
Trinny London Limited 219 1,374 3.6%
Cambridge Touch Technologies Limited 959 1,353 3.5%
Ecstase Limited (t/a ADAY) 1,000 1,203 3.1%
Upp Technologies Group Limited (previously Volo Commerce) 1,136 1,136 3.0%
Firefly Learning Limited 1,047 1,047 2.7%
Limitless Technology Limited 757 920 2.4%
Arecor Therapeutics plc^ 418 888 2.3%
FVRVS Limited (t/a Fundamental VR) 777 861 2.3%
Parsable, Inc. 766 802 2.1%
Congenica Limited 734 746 2.0%
FundingXchange Limited 1,050 740 1.9%
Carbice Corporation 656 721 1.9%
Masters of Pie Limited 667 667 1.7%
Vivacity Labs Limited 493 493 1.3%
Maverick Pubs (Holdings) Limited 1,000 450 1.2%
Fenkle Street LLP 301 411 1.1%
BBC Maestro Limited 340 340 0.9%
Channel Mum Limited 757 311 0.8%
MIP Diagnostics Limited 300 300 0.8%
Distributed Limited 275 275 0.7%
Bulbshare Limited 249 249 0.7%
Glisser Limited 200 200 0.5%
Destiny Pharma plc^ 500 121 0.3%
Lignia Wood Company Limited 1,778 - 0.0%
Empiribox Holdings Limited 1,563 - 0.0%
Live Better With Limited 1,211 - 0.0%
Ormsborough Limited 900 - 0.0%
Hummingbird Technologies Limited 750 - 0.0%
Lineten Limited 400 - 0.0%
London and City Shopping Centre Limited 30 - 0.0%
  29,367 29,181 76.3%
       
Liquidity investments      
Downing Strategic Micro-Cap Investment Trust plc 4,269 2,640 6.9%
Total investments 33,636 31,821 83.2%
       
Cash at bank and in hand   6,408 16.8%
Total   38,229 100.0%
       




Healthcare Share pool




Cost


Valuation
% of

portfolio
  £’000 £’000  
Venture Capital investments      
Arecor Therapeutics plc^ 1,533 3,256 18.3%
Open Bionics Limited 1,000 1,630 9.2%
Adaptix Limited 1,056 1,843 10.4%
FVRVS Limited (t/a Fundamental VR) 1,305 1,472 8.3%
Congenica Limited 1,184 1,215 6.8%
GENinCode plc^ 1,202 1,082 6.1%
Cambridge Respiratory Innovations Limited 800 800 4.5%
The Electrospinning Company Limited 478 544 3.1%
Invizius Limited 500 500 2.8%
Closed Loop Medicine Limited 650 650 3.7%
DiA Imaging Analysis Limited 415 484 2.7%
MIP Diagnostics Limited 300 300 1.7%
Destiny Pharma plc^ 750 182 1.0%
Live Better With Limited 1,107 - 0.0%
  12,280 13,958 78.5%
       
Liquidity investments      
Downing Strategic Micro-Cap Investment Trust plc 729 451 2.5%
Total investments 13,009 14,409 81.0%
       
Cash at bank and in hand   3,382 19.0%
Total   17,791 100.0%


AIM Share Pool  



Valuation


% of

portfolio
Portfolio of investments   £’000  
Cash at bank and in hand   2,790 100.0%
Total investments   2,790 100.0%






DSO D Share Pool




Cost




Valuation
% of

portfolio
  £’000 £’000  
Venture Capital investments      
Pearce and Saunders Limited 255 25 18.1%
Pearce and Saunders DevCo Limited 19 16 11.6%
       
Total investments 274 41 29.7%
Cash at bank and in hand   97 70.3%
Total   138 100.0%








DP67 Share Pool




Cost




Valuation


% of

portfolio
  £’000 £’000  
Venture Capital investments      
Cadbury House Holdings Limited 1,409 791 41.3%
Fenkle Street LLP 405 771 40.2%
Gatewales Limited 343 344 18.0%
Yamuna Energy Limited 400 - 0.0%
London City Shopping Centre Limited 99 - 0.0%
       
Total investments 2,656 1,906 99.5%
Cash at bank and in hand   10 0.5%
Total   1,916 100.0%


UK 100