Share Price

INVESTORS

Financial Resources

Balance Sheet ($ in millions, except per share) 28/2/25 31/1/25
Equity Investments $1,247.6 $1,269.8
Income Investments $24.1 $24.1
Total Direct Investments $1,271.8 $1,293.9
Legacy Private Equity Funds $3.7 $4.2
Total Private Equity Fair Value $1,275.5 $1,298.2
Cash / Liquid Investments $68.8 $70.9
Credit Facility Borrowings ($90.0) ($90.0)
Dividend Payable - ($21.7)
Other ($4.7) ($4.8)
Net Asset Value $1,249.6 $1,252.6
Net Asset Value per Share $27.16 $27.10
Summary of Private Equity Exposure
Private Equity Investment Level 102% 104%
Cash / Liquid Investments + Available Credit Facility $278.8 $280.9
Adjusted Unfunded Commitments $32.1 $32.2
Adjusted Commitment Cover Ratio 868% 873%
Sterling NAV & Trading Information (£)
NAV Per Share £21.57 £21.81
Closing Share Price £15.66 £15.44
Premium (Discount) -27.4% -29.2%

As at 28 February 2025.