NEWS & MEDIA
Sure Ventures Plc – Net Asset Value: June 2018
20 August 2018Sure Ventures Plc, a venture capital fund which invests in early stage software companies in the rapidly growing Financial Technology (‘fintech’), Augmented Reality (‘AR’), Virtual Reality (‘VR’), and Internet of Things (‘IoT’) sectors, is pleased to announce its unaudited, estimated NAV per share for the period as at the 30th of June 2018.
The NAV as at the 30th of June 2018 stands at 96.17p, which represents a 4.38% increase from the March 2018 NAV calculation, reported to the market on the 4th of May 2018.
The Board is happy with the progress made year to date and looks forward to keeping investors informed as the investment strategy outlined in the prospectus continues to be executed by the appointed Investment Manager Shard Capital AIFM LLP.
For further information, please visit www.sureventuresplc.com or contact:
Gareth Burchell |
Sure Ventures plc |
+44 (0) 20 7186 9918 |
Isabel de Salis / Priit Piip |
St Brides Partners (Financial PR) |
+44 (0) 20 7236 1177 |
Notes to editors:
Sure Ventures plc listed on the London Stock Exchange in January 2018, giving retail investors access to an asset class that is usually dominated by private venture capital funds. The Company aims to provide investors with a diversified exposure to three rapidly-growing markets: augmented reality/virtual reality, FinTech and Internet of Things. Sure is focusing on companies in the UK, Republic of Ireland and other European countries, making seed and series A investments in companies with first rate management teams, products which benefit from market validation with target revenue run rates of +£400,000 over the next 12 months.
Website: https://www.sureventuresplc.com/