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Net Asset Value calculation to 31 March 2016

29th Apr 2016 07:00

RNS Number : 7471W
Port Erin Biopharma Investments Ltd
28 April 2016
 

29 April 2016

Port Erin Biopharma Investments Limited

(the "Company")

 

Net Asset Value calculation to 31 March 2016

 

Jim Mellon, Chairman, commented: -

"The Net Asset Value ("NAV") calculation for the Company as at closing on 31 March 2016 was 10.21 pence per share, including un-invested cash of £10,713. The portfolio is valued under IFRS at bid price.

Net Assets stand at £2.4 million including Investments of £2.38 million. This quarter's NAV represents a decrease of 5.37% from the previous valuation of 10.79 pence per share, which included un-invested cash of £24,011. No additional management fee is due to Shellbay Investments Limited."

Unaudited to 31 March 2016 (£)

Fixed Assets

Investments

2,375,370

Current Assets

Sundry Debtors

34,522

Uninvested cash

10,713

Current Liabilities

Creditors: amounts due

(51,777)

2,368,828

Capital and Reserves

Share Capital

23

Share Premium

1,890,142

Reserves

478,663

2,368,828

Shares in Issue

23,195,558

Net Asset Value per share

10.21 pence

 

 

Portfolio Details

 

Investments as at 31 March 2016

Value

% of Total Portfolio

Magna Biopharma Income Fund

£1,093,235

46.0%

Regent Pacific Group

£600,945

25.3%

Summit Corporation

£251,293

10.6%

Other quoted holdings

£96,082

4.0%

Other unquoted holdings

£333,815

14.1%

Total

£2,375,370

100.0%

 

For further information, please contact:

 

Port Erin Biopharma

Investments Limited

Northland Capital Partners

Limited

Peterhouse Capital

Limited

The Company

Nomad and Joint Broker

Broker

Denham Eke

(+44) (0) 1624 639396

Matthew Johnson/David Hignell

(+44) (0) 203 861 6625

Lucy Williams

(+44) (0) 207 469 0936

 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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