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Net Asset Value (NAV) Per Share

1,997p

As of 31 Oct 2024

NAV Per Share Total Return

3.0%

Three months to 31 Oct 2024

Local Currency Portfolio Return

3.1%

Three months to 31 Oct 2024

Weighted average Uplift to Carrying Value of Full Exits

17.9%

Three months to 31 Oct 2024

Weighted average Multiple to Cost of Full Exits

4.0x

Three months to 31 Oct 2024