Pantheon International monthly net asset value rises

Archived article

Please note that tax, investment, pension and ISA rules can change and the information and any views contained in this article may now be inaccurate.

Pantheon International PLC - investment trust focused on private equity assets managed by third-party managers - Says net asset value as at May 31 is 462.4 pence each, up 2.1% from 452.9p on April 30. Total net assets amount to £2.5 billion. Says in the month to May 31, valuation gains were up 1.5%. Its private equity assets stand at £2.42 billion on the date. Say it maintains a five year £500 million multi-tranche, multi-currency revolving credit facility agreement as at May 31. This is due to expire in July 2027. The facility remained undrawn at the month end.

Current stock price: 252.25 pence each, down 1.3% on Thursday afternoon in London

12-month change: up 3.4%

Copyright 2023 Alliance News Ltd. All Rights Reserved.