Share Price

INVESTORS

Financial Resources

Balance Sheet ($ in millions, except per share) 3/31/2026 2/28/2026
Equity Investments $1,240.6 $1,192.3
Income Investments $14.6 $15.2
Total Direct Investments $1,255.3 $1,207.5
Legacy Private Equity Funds $3.8 $3.8
Total Private Equity Fair Value $1,259.1 $1,211.3
Cash / Liquid Investments $15.6 $49.6
Credit Facility Borrowings ($120.0) ($90.0)
Dividend Payable $0.0 $0.0
Other ($7.6) ($3.3)
Net Asset Value $1,147.1 $1,167.7
Net Asset Value per Share $27.12 $27.41
Summary of Private Equity Exposure
Private Equity Investment Level 110% 104%
Cash / Liquid Investments + Available Credit Facility $195.6 $259.6
Adjusted Unfunded Commitments $43.9 $33.6
Adjusted Commitment Cover Ratio 446% 774%
Sterling NAV & Trading Information (£)
NAV Per Share £20.57 £20.39
Closing Share Price £13.24 £14.30
Premium (Discount) -35.6% -29.9%

As at 31 March 2026.