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Net asset value update at 31 December 2015

6th Jan 2016 10:08

RNS Number : 9930K
Starvest PLC
06 January 2016
 

Wednesday 6 January 2016

 

 

Starvest Plc ("Starvest" or "the Company")

Net asset value update at 31 December 2015

The Company announces the net asset value as at the close of business on 31 December 2015 as follows:

31 December 2015

30 September

2015

30 December

2014

31 December 2013

Trading portfolio value

£1.11m

£1.04m

£1.60m

£1.95m

Company net asset value

£1.12m

£1.14m

£1.80m

£2.36m

Net asset value per share

 3.02 pence

3.09 pence

4.85 pence

6.35 pence

Share price - mid

 2.38 pence

2.75 pence

4.38 pence

3.88 pence

Share price discount to net asset value

21%

11%

10%

39%

Market capitalisation

£0.88m

£1.02m

£1.62m

£1.44m

All valuations are based on the closing market bid prices or lower directors' valuation as described in the 2015 annual report. The discounts applied to bid prices at 31 December 2015 totalled £248,248 (30 September 2015: £241,750).

Challenging market conditions for mining stocks prevailed throughout Q4 2015 following declining commodity prices due to market oversupply. However, our trading portfolio value is weathering the storm with a modest increase from Q3 2015 displaying resilience in the current climate. The Company is actively seeking investment opportunities to add to its current portfolio.

 

The Company's website, www.starvest.co.uk, has further details of the portfolio.

 

Callum N Baxter

Chairman & Chief Executive

6 January 2016

 

 

 

Enquiries to:

Callum Baxter, Chairman [email protected] or John Watkins, Finance Director 07768 512404; [email protected]

Colin Aaronson or Harrison Clarke - Grant Thornton UK LLP 020 7383 5100.

END

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