Thames Ventures VCT 1 PLC Releases Unaudited NAV for 2024
Thames Ventures VCT 1 PLC has provided important updates about its financial status through its unaudited net asset value (NAV). As of June 30, 2024, the NAV stands at 45.9p per share. This announcement is significant for both the company and its investors, as understanding the NAV is essential for evaluating the value of shares in investment trusts.
Why Net Asset Value Matters in Investments
Net asset value is a crucial metric for investors to gauge the company's overall worth. It represents the value of the company's assets after settling all liabilities. A clear NAV figure allows investors to make well-informed decisions based on the company's performance and potential for growth.
Contact Details for Stakeholders
For further information or inquiries regarding Thames Ventures VCT 1 PLC, stakeholders are encouraged to reach out to company representatives. The Company Secretary, Stephen Thayer, can be contacted at Foresight Group LLP by phone at 0203 667 8100. Additionally, Andrew James from Investor Relations is also available at the same firm, reachable at 0203 667 8181.
Future Prospects for Thames Ventures VCT 1 PLC
As the financial environment continues to change, Thames Ventures VCT 1 PLC is dedicated to ensuring transparency and delivering value to its shareholders. Keeping an eye on its NAV and other financial metrics will be vital for both current and prospective investors who wish to assess the trajectory of their investments.
Frequently Asked Questions
What is the latest NAV reported by Thames Ventures VCT 1 PLC?
The most recent unaudited NAV reported is 45.9p per share as of June 30, 2024.
Who can I contact for more information regarding the NAV?
For inquiries, you can reach out to Stephen Thayer, the Company Secretary at Foresight Group LLP, or Andrew James from Investor Relations.
Why is understanding NAV important for investors?
NAV serves as a clear indicator of a company's value after liabilities are accounted for, assisting investors in evaluating share value.
How often is the NAV updated for Thames Ventures VCT 1 PLC?
The NAV is generally updated on a quarterly basis, reflecting the company's financial performance and prevailing market conditions.
What should investors consider regarding future NAV announcements?
Investors should take into account market fluctuations, the company's performance, and broader economic factors that may influence future NAV calculations.