Performance at month end

RNS Number : 3589A
HgCapital Trust PLC
07 June 2016
 
HgCapital Trust plc ("the Trust")

 

All information is at 31 May 2016 and unaudited.

 

 

Historical total return (with net income reinvested) performance at month end

 

                                                                      

 

One
month
%


YTD 
%

One
year 
%

Three years
% p.a.

Five
years 
% p.a.

Ten
years 
% p.a.

 

 

 

 

 

 

 

NAV per share

(1.2%)

0.7%

18.2%

7.0%

6.5%

10.7%

Share price

 6.7%

15.8%

19.1%

7.3%

4.9%

9.9%

 

 

 

 

 

 

 

FTSE All-Share Index

    0.7%      

1.4%

(6.3%)

3.1%

5.6%

5.3%

 

Sources: HgCapital, Factset

 

 

 

Financials as at 31 May 2016

 

NAV per share: 1

 

1,390.1p

 

 

 

Share price per ordinary share:                   

 

1,248.0p

 

Ordinary share price discount to NAV:

 

10.2%

 

 

 

Total net assets:                 

 

£518.9m

Net yield:                       

 

3.2%

Market Capitalisation:

 

£465.8m

Gearing:                          

 

Nil%

Ordinary shares in issue:   

 

37,324,698

 

 

 

1 includes five months net revenue of (0.12p)

 

 

The investment portfolio has not been revalued at 31 May 2016. The unaudited NAV at 31 May 2016 is based on the NAV at 31 December 2015, adjusted to reflect purchases and realisations of investments, exchange rate movements, market prices (at bid) in respect of quoted investments, the revaluation of the carried interest provision, any dividends payable and expenses incurred during the period.

 

Sector Analysis

                                                                                                                 

Sector

% of Net Assets

 

 

TMT                 

60.9

Services

26.9

Industrials                          

6.0

Healthcare

3.1

Renewable Energy                                             

3.0

Other                 

2.2

Provision for carried interest                               

(5.8)

Cash and other liquid assets                              

3.7

 

100.0%

 

 

 

 

 

 

 

 

 
Ten Largest Investments                                           

                                 

Company

% of Portfolio*

 

 

 

Sector

 

 

 

 

Visma

12.6

 

TMT

IRIS

9.6

 

TMT

Zenith

7.0

 

Services

Achilles

5.3

 

TMT

P&I

4.7

 

TMT

Sovos

4.6

 

TMT

JLA

3.9

 

Services

A-Plan

3.6

 

Services

Qundis

3.6

 

Industrials

Radius

3.3

 

Services

 

58.2%

 

 

 

* excluding provision for carried interest

 

 

07 June 2016


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