Share Price

INVESTORS

Financial Resources

Balance Sheet ($ in millions, except per share) 30/11/24 31/10/24
Equity Investments $1,274.7 $1,236.2
Income Investments $24.5 $26.7
Total Direct Investments $1,299.1 $1,262.9
Legacy Private Equity Funds $4.3 $4.6
Total Private Equity Fair Value $1,303.4 $1,267.5
Cash / Liquid Investments $65.4 $109.5
Credit Facility Borrowings ($90.0) ($90.0)
ZDPs - -
Other ** ($6.4) ($24.1)
Net Asset Value $1,272.4 $1,262.9
Net Asset Value per Share $27.51 $27.31
Summary of Private Equity Exposure
Private Equity Investment Level 102% 100%
Cash / Liquid Investments + Available Credit Facility ** $275.4 $298.7
Adjusted Unfunded Commitments $32.4 $32.6
Adjusted Commitment Cover Ratio 850% 916%
Sterling NAV & Trading Information (£)
NAV Per Share £21.64 £21.24
Closing Share Price £15.44 £15.58
Premium (Discount) -28.7% -26.7%

**31 October 2024 number primarily consists of a payable associated with a US Treasury Bill purchase which settled in November. Available liquidity adjusted for this payable.

As at 30 November 2024.