NORVESTIA’S NET ASSET VALUE INCREASED BY 2.0% IN NOVEMBER

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NORVESTIA’S NET ASSET VALUE INCREASED BY 2.0% IN NOVEMBER

Helsinki, Finland, 2015-12-11 10:00 CET (GLOBE NEWSWIRE) -- Norvestia Oyj        Stock exchange release    11 December 2015 at 11:00

NORVESTIA’S NET ASSET VALUE INCREASED BY 2.0% IN NOVEMBER  

Return on NAV, 1 month     2.0%  
Return on NAV, since beginning of year   9.4% (dividend-adjusted)
Return on Amended NAV, since beginning of year* 8.9% (dividend-adjusted)
Return on NAV, 12 months          8.6% (dividend-adjusted)
     
      30/11/2015 31/10/2015 31/12/2014
  Net Asset Value/share, EUR 10.19 9.99 9.59
  Amended Net Asset Value/share, EUR* 10.29 10.09 9.73
  Share price, EUR 7.97 7.80 7.40
           
  ASSETS EUR million EUR million EUR million
  NON-CURRENT ASSETS      
    Interests in associates 7.9 7.9 7.3
    Loan receivables from associates 1.7 1.7 1.9
    Other investments 6.5 6.5 4.6
    Deferred tax assets 3.8 3.9 3.7
           
  CURRENT ASSETS      
    Shares held for trading 76.5 69.7 65.4
    Other financial assets at fair      
    value 49.8 51.4 52.0
    Cash and receivables 18.9 20.6 17.1
  ASSETS IN TOTAL 165.1 161.7 152.0
           
  Current liabilities -2.0 -2.3 -0.4
  Deferred tax liabilities -7.0 -6.4 -4.7
           
  NET ASSET VALUE 156.1 153.0 146.9
  AMENDED NET ASSET VALUE* 157.7 154.6 149.0
               

Number of shares 15,316,560

* External valuations made to support the 2014 financial statements and confirm the fair values of growth equity investments resulted in an appreciation in the value of one of the associates, Coronaria Hoitoketju Oy. According to IFRS, this type of appreciation of investments in associates cannot be booked because the associates are accounted for in Norvestia's consolidated financial statements using the equity method.

ACCOUNTING PRINCIPLES

Shares held for trading mainly consist of listed shares and derivative contracts that are measured at fair value by the last trade price on active markets on the balance sheet date. Other financial assets at fair value consist mainly of funds whose fair value is determined as the funds’ Net Asset Value on the balance sheet date. The group also includes bonds, the fair value of which is measured at the last trade price on the balance sheet date.

Other investments include unlisted shares and private equity fund investments, which are measured at fair value. If the investments have no active market then the fair value is determined using various valuation methods that are usually based on forecasted cash flows. Private equity fund investments are valued according to the practice generally used in the sector, i.e. the fair value of the private equity fund investment is the latest fund value announced by the private equity fund management company.

Norvestia Oyj

Juha Kasanen Managing Director Tel. +358-9-6226 380

DISTRIBUTION Nasdaq Helsinki Main media www.norvestia.fi

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