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Investment Policy adopted 18 May 2022

Latest RNS Updates

31 July 2026
Net Asset Value Weekly to 24 Jul 2026
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31 July 2026
Issue of Equity
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30 July 2026
Publication of June 2026 Monthly Report
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30 July 2026
Issue of Equity
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27 July 2026
July 2026 Share Conversion
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27 July 2026
Dividend Declaration
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27 July 2026
Net Asset Value Month End 30 Jun 2026
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24 July 2026
Issue of Equity
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24 July 2026
Director/PDMR Shareholding
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24 July 2026
Net Asset Value Weekly to 17 Jul 2026
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