Important Update on Foresight Ventures VCT Asset Values

Correction: Net Asset Value(s) Update
FORESIGHT VCT PLC
LEI: 213800GNTY699WHACF46
Notice to Disregard
Foresight VCT PLC has requested that all parties disregard the previously issued announcement regarding the net asset value, which was sent out on 17 June 2025. This communication was published via Global Newswire at 15:41 (UTC+01:00) and has been deemed inaccurate.
Understanding Net Asset Value
Net Asset Value (NAV) is a critical metric for investors as it represents the total value of a company's assets minus its liabilities. It serves as an essential barometer for assessing a fund’s performance. Accurate announcements and updates regarding NAV are vital to making informed investment decisions.
What This Means for Investors
The inadvertent release of inaccurate NAV information could lead to confusion among investors. It is important for stakeholders to rely on verified information when considering their investments, particularly in the volatile market environment. Investors who may have acted based on the initial announcement should remain vigilant and consult further updated communications from Foresight VCT PLC.
Contact Information
For further clarification and inquiries regarding this update, please reach out directly to:
Gary Fraser, Foresight Group: 0203 667 8181
Continued Commitment to Transparency
Foresight VCT PLC is dedicated to maintaining transparency with its investors and the public. The company understands the importance of accuracy in financial reporting and is committed to rectifying any errors promptly. Continuous improvements to communication protocols will likely be implemented to prevent similar occurrences in the future.
Frequently Asked Questions
What is the significance of NAV in investment?
NAV provides investors with a clear view of the total value of a fund's assets after deducting liabilities, essential for evaluating performance.
Why was the previous NAV announcement disregarded?
The prior announcement was determined to be inaccurate, leading to a request for it to be disregarded for clarity in communications.
Who can I contact for more information?
Investors may contact Gary Fraser at Foresight Group for any queries related to this update.
How often is NAV reported?
NAV is typically reported on a periodic basis, depending on the fund's policies and market conditions.
What measures are in place to ensure accurate communications?
Foresight VCT PLC is enhancing its communication protocols to ensure accuracy and reliability of all financial announcements moving forward.
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