Performance at a glance

As at 31 March 2025

7.3%

Annualised NAV total return 
since IPO

£678.7m

Net Asset Value

106.5p

Net Asset Value per share

40

Number of investments

Financial calendar

Date Event
24/06/2025 2025 Annual Results
18/09/2025 Annual General Meeting
28/11/2025 2025 Half-year results

Dividend timetable

Date Event
March Dividend payment
June Dividend payment
September Dividend payment
December Dividend payment

Featured Reports

2025 Annual Report

View here

2024 Half-Year Report

View here

2024 Sustainability & ESG Report

View here

Latest RNS updates

Loading...