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PORTFOLIO NAV AND DISTRIBUTION UPDATE
LDG plc
("LDG" or the "Company")
Portfolio NAV and Distribution Update
LDG today announces its quarterly portfolio data. As at 31 December 2024, LDG’s unaudited estimated net asset value (“NAV”) per share was £0.223. This reflects a moderate increase of 4.43% compared to the prior period being 30 September 2024. The NAV, in respect of private investments, has been assessed and reported to the Board by the Company’s investment manager, DBAY, who applies the International Private Equity and Venture Capital Valuation (“IPEV”) Guidelines in its valuation practices.
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17 March 2025
Company Update