RM Infrastructure Income PLC Net Asset Value(s)
16 Agosto 2024 - 8:00AM
RNS Regulatory News
RNS Number : 6529A
RM Infrastructure Income PLC
16 August 2024
RM Infrastructure Income
Plc
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("RMII" or the
"Company")
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LEI:
213800RBRIYICC2QC958
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Net Asset
Value
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NAV Performance
The NAV % Total Return for July 2024
was 1.00%, which takes the NAV % Total Return to 2.36% over the
past six months, and 3.46% over the past 12 months.
The NAV as at 31st July 2024 was
88.71 pence per Ordinary Share, which was 0.88 pence higher than at
30th June 2024. This overall gain comprised positive interest
income of 0.47 pence per Ordinary Share, net of expenses, and an
increase in portfolio valuations of 0.40 pence per Ordinary Share
led by discount rate movements.
Portfolio Activity
As at 31st July 2024, the Company's
invested portfolio had an aggregate nominal outstanding of circa
£90.6 million across 23 investments. The average yield was 11.66%,
with a weighted average loan life remaining of circa 1.23 years.
Overall, the portfolio is 95% invested in private market assets and
5% in public bonds.
During the month, Investment Loans
ref 95a & 95b were repaid in full at par, c.£2.8m, well in
advance of their respective legal maturities of June
2027.
Investment Loan ref 76 drew down its
remaining committed balance of £255k.
Cash balance at end of July stood at
circa £18.25m of which circa £1.5m will be retained by the Company
largely to fund committed facilities which have yet to be drawn as
well as to retain required working capital.
The Company confirmed the most
appropriate and effective method to return capital to shareholders
would be via tender offers. Each tender offer will be subject to
shareholder approval at a general meeting, including for the
initial tender offer. The Board is currently anticipating the first
tender offer to occur during H2-2024.
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The Company also announces that the
Monthly Report for the period to 31st July 2024 is now
available to be viewed on the Company website:
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https://rm-funds.co.uk/rm-infrastructure-income/rm-funds-investor-monthly-fact-sheets-2/
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END
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For further information, please
contact:
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RM
Capital Markets Limited - Investment
Manager
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James Robson
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Thomas Le Grix De La
Salle
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Tel: 0131 603 7060
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FundRock Management Company (Guernsey) Limited
- AIFM
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Chris Hickling
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Dave Taylor
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Tel: 01481 737600
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Apex Listed Companies Services (UK) Ltd
- Administrator and Company Secretary
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Jenny Thompson
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Tel: 07767102572
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Singer Capital Markers Advisory LLP - Financial Adviser and Broker
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James Maxwell
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Asha Chotai
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Tel: 020 7496 3000
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About RM Infrastructure Income
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RM Infrastructure Income Plc ("RMII"
or the "Company") is a closed-ended investment trust established to
invest in a portfolio of secured debt instruments.
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The Company aims to generate
attractive and regular dividends through loans sourced or
originated by the Investment Manager with a degree of inflation
protection through index-linked returns where appropriate. Loans in
which the Company invests are predominantly secured against assets
such as real estate or plant and machinery and/or income streams
such as account receivables.
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For more information, please
see
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https://rm-funds.co.uk/rm-infrastructure-income/
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END
NAVZELFFZVLFBBQ
Grafico Azioni Rm Infrastructure Income (LSE:RMII)
Storico
Da Dic 2024 a Gen 2025
Grafico Azioni Rm Infrastructure Income (LSE:RMII)
Storico
Da Gen 2024 a Gen 2025