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 |
Latest RNS updates
Loading...
Receive updates
Subscribe using the form below to receive RNS updates from FGEN.