Private Equity Investor PLC Net Asset Value(s) (7378J)
14 Setembro 2016 - 3:01AM
UK Regulatory
TIDMPEQ
RNS Number : 7378J
Private Equity Investor PLC
14 September 2016
PRIVATE EQUITY INVESTOR PLC
Private Equity Investor PLC (the "Company") announces an
unaudited Net Asset Value ("NAV") at 31 August 2016 (the "Reporting
Date") of 224.31 pence (US 293.83 cents) per share, which includes
the current period deficit, the costs in respect of the cash offer
for the Company and incorporates the most recently available
valuations of the Company's private equity fund investments (the
"Funds") referred to below. The exchange rate at which the NAV was
calculated was GBP=US$1.3099.
The Company's valuation policy for its Funds is based on the
latest valuations reported by the Funds. The Funds report quarterly
and between reports the Company will adjust the valuations for
calls made to the Funds and distributions received from the Funds.
When publishing the Company's NAV at the end of each month it is
not the Company's practice or policy to adjust the value of any
investments held within the Funds.
As of the Reporting Date, the Company's unrestricted cash stood
at GBP5.7 million, and restricted cash stood at GBP2.8 million. The
Company held no marketable securities as of the Reporting Date.
Restricted cash represents amounts required to fulfil existing
capital commitments to PEI's Funds.
The Company had 11,945,519 outstanding shares still in
issue.
Valuation dates of the Funds:
Dawntreader Fund II 30 June 2016
Draper Fisher Jurvetson 30 June 2016
ePlanet Ventures
Draper Fisher Jurvetson 30 June 2016
Fund VI
Draper Fisher Jurvetson 30 June 2016
Fund VII
Draper Fisher Jurvetson 30 June 2016
Gotham Venture Fund
Focus Ventures II 30 June 2016
Francisco Partners II & 30 June 2016
Cayman
Institutional Venture Partners 30 June 2016
XII
New Enterprise Associates 30 June 2016
9
New Enterprise Associates 30 June 2016
10
New Enterprise Associates 30 June 2016
12
Oak Investment Partners 30 June 2016
X
TCV IV 30 June 2016
Vanguard VII 30 June 2016
Vantagepoint Venture Partnership 30 June 2016
IV
Vantagepoint 2006 Fund 30 June 2016
Vector Capital IV 30 June 2016
Zone Venture Fund II 30 June 2016
14 September 2016
This information is provided by RNS
The company news service from the London Stock Exchange
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September 14, 2016 02:01 ET (06:01 GMT)
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