Unaudited Net Asset Value(s)


Downing TWO VCT plc
LEI: 213800HJGTPW7F8YEY55
Unaudited Net Asset Values
6 June 2019

Downing TWO VCT plc announces that its unaudited Net Asset Values (“NAVs”) as at 5 June 2019 are as follows:

 Pence
F Share class 
Net asset value per ‘F’ Share28.9
Cumulative distributions per ‘F’ Share67.0
Total return per ‘F’ Share95.9
  
‘G’ Share class 
Net asset value per ‘G’ Share61.2
Cumulative distributions per ‘G’ Share37.5
Total return per ‘G’ Share98.7
  
‘K’ Share pool 
Net asset value per ‘K’ Share73.0
Cumulative distributions per ‘K’ Share-
Total return per ‘K’ Share73.0

Some provisions have been made against the value of some investments since the year end of 31 December 2018 – the most significant are as follows:

  • Yamuna Renewables Limited (K Share class, 8.3p per share);
  • Jito Trading Limited (K Share class, 2.4p per share);
  • Ormsborough Limited (G Share class 0.9p per share, K Share class 4.0p per share);
  • Indigo Generation Limited (K Share class, 1.4p per share); and
  • Ironhide Generation Limited (K Share class, 1.4p per share).

The Company also confirms it is unlikely to underake any further share buybacks in any share class.