Net Asset Values


Downing THREE VCT plc
LEI: 2138008V2JDU2K6ZHF80
Unaudited Net Asset Values
15 November 2019

Downing THREE VCT plc announces that its unaudited Net Asset Values as at 30 September 2019 are as follows:

 UnauditedUnaudited
 30-Sep-1930-Jun-19
F Share class  
Net asset value per ‘F’ Share *26.4p30.3p
Cumulative distributions per ‘F’ Share *72.0p67.0p
Total return per ‘F’ Share98.4p97.3p
   
‘H’ Share class  
Net asset value per ‘H’ Share **38.5p43.5p
Cumulative distributions per ‘H’ Share **35.0p30.0p
Total return per ‘H’ Share73.5p73.5p
   
‘J’ Share pool  
Net asset value per ‘J’ Share ***60.9p68.3p
Cumulative distributions per ‘J’ Share ***5.0p2.5p
Total return per ‘J’ Share65.9p70.8p

Provisions have been increased against the value of two investments in the J Share pool since 30 June 2019. These are summarised as follows:

  • Jito Trading Limited (increased provision equivalent to 2.1p per J share)
  • Ormsborough Limited (increased provision equivalent to 2.7p per J share)

* adjusted for the dividend of 5.0p per F Share paid on 8 November 2019
** adjusted for the dividend of 5.0p per H Share paid on 8 November 2019
*** adjusted for the dividend of 2.5p per J Share paid on 8 November 2019