Investment Trusts

Nippon Active Value Fund plc

NAVF:LSE

Nippon Active Value Fund plc

  • Price (GBX)172.00
  • Today's Change0.00 / 0.00%
  • Shares traded167.81k
  • 1 Year change24.64%
  • Beta0.6502
Data delayed at least 20 minutes, as of May 03 2024 16:35 BST.
More ▼

Profile data is unavailable for this security.

About the company

Nippon Active Value Fund Plc is a United Kingdom-based closed-ended investment company. The investment objective of the Company is to provide Shareholders with attractive capital growth through the active management of a focused portfolio of quoted companies which have the majority of their operations in, or revenue derived from, Japan and that have been identified by the Investment Adviser as being undervalued. The Company seeks to invest in a concentrated portfolio of shares issued by quoted companies which have their operations in, or revenue derived from Japan. The Company invests in various sectors, including industrial, materials, communication services, healthcare, financials and cash. The Company’s alternative investment fund manager is FundRock Management Company (Guernsey) Limited and its investment adviser is Rising Sun Management Limited.

  • Revenue in GBP (TTM)53.13m
  • Net income in GBP47.56m
  • Incorporated2019
  • Employees0.00
More ▼

Profile

Management group(s)Rising Sun Management Ltd
AIC sectorJapanese Smaller Companies
ISINGB00BKLGLS10
Launch date21 Feb 2020
Share typeOrdinary Share
StructureInvestment Trust
Base currencyGBP

Objective

The investment objective of the Company is to provide Shareholders with attractive long-term capital growth primarily through the active management of a focused portfolio of quoted companies which that have the majority of their operations in, or revenue derived from, Japan , or a majority of whose consolidated net assets are held in Japan, or that are included in the TOPIX, and that have been identified by the Investment Adviser as being undervalued

Managed by

James B. Rosenwald, Gifford Combs, Kazutaka Mizuochi, Paul ffolkes Davis

Management & contract fees

Annual fee calculated as 0.85% of the Company net assets (exclusive of VAT).

Mergers & acquisitions

Acquired companyDeal statusDateDate /
Deal status
NAVF:LSE since
announced
Transaction
value
Atlantis Japan Growth Fund LtdAnnounced11 Aug 202311 Aug 2023Announced18.62%--
Aberdeen Japan Investment Trust Plc-AssetsAnnounced18 May 202318 May 2023Announced18.62%--
Data delayed at least 20 minutes, as of May 03 2024 16:35 BST.

Peer analysis

CompanyRevenue (TTM)Net income (TTM)Market capEmployeesMarket Cap /
Employees
Schroder Japan Trust PLC50.89m46.93m305.21m0.00305.21m0.00
Literacy Capital PLC56.33m48.20m306.00m0.00306.00m0.00
Jpmorgan Asia Growth & Income PLC24.81m20.82m308.62m0.00308.62m0.00
European Assets Trust PLC40.06m34.89m313.26m0.00313.26m0.00
Gresham House Energy Storage Fund PLC-100.10m-110.11m321.52m0.00321.52m0.00
Henderson International Income Trust PLC18.14m12.76m322.39m0.00322.39m0.00
Scottish Oriental Smaller Co's Trust PLC53.44m40.62m322.65m0.00322.65m0.00
Henderson Eurotrust PLC31.38m27.02m324.14m0.00324.14m0.00
Nippon Active Value Fund PLC53.13m47.56m325.32m0.00325.32m0.00
Invesco Bond Income Plus Ltd36.48m31.82m326.27m0.00326.27m0.00
CT Private Equity Trust PLC29.48m13.78m330.06m0.00330.06m0.00
CT UK Capital and Income Invst Trust PLC41.80m38.32m333.61m0.00333.61m0.00
Lowland Investment Company P L C57.32m52.79m335.03m0.00335.03m0.00
Baillie Gifford European Growth Trst PLC24.20m27.88m341.46m0.00341.46m0.00
Biotech Growth Trust PLC-87.00m-92.03m342.19m0.00342.19m0.00
Baillie Gifford Shin Nippon PLC-75.99m-81.91m344.01m0.00344.01m0.00
Data as of May 03 2024. Currency figures normalised to Nippon Active Value Fund plc's reporting currency: UK Pound GBX

Institutional shareholders

38.70%Per cent of shares held by top holders
HolderShares% Held
Dalton Investments LLCas of 30 Jun 202338.46m20.33%
1607 Capital Partners LLCas of 25 Oct 202314.71m7.78%
Evelyn Partners Investment Management LLPas of 11 Oct 20235.94m3.14%
Brooks Macdonald Asset Management Ltd.as of 31 Jan 20223.07m1.62%
Brompton Asset Management LLPas of 03 May 20242.82m1.49%
Hawksmoor Investment Management Ltd.as of 30 Apr 20232.74m1.45%
Jupiter Asset Management Ltd.as of 31 Jan 20241.83m0.97%
BlackRock Investment Management (UK) Ltd.as of 31 Mar 20241.70m0.90%
Vanguard Global Advisers LLCas of 31 Jan 20241.03m0.54%
Premier Fund Managers Ltd.as of 30 Nov 2023900.00k0.48%
More ▼
Data from 30 Apr 2023 - 03 May 2024Source: FactSet Research Systems Inc.
Data Provided by LSEG
All markets data located on InvestorsChronicle.co.uk is subject to the Investors Chronicle Terms & Condition
All content on InvestorsChronicle.co.uk is for your general information and use only and is not intended to address your particular requirements. In particular, the content does not constitute any form of advice, recommendation, representation, endorsement or arrangement by IC and is not intended to be relied upon by users in making (or refraining from making) any specific investment or other decisions.
Any information that you receive via Investors Chronicle is at best delayed intraday data and not "real time". Share price information may be rounded up/down and therefore not entirely accurate. Investors Chronicle is not responsible for any use of content by you outside its scope as stated in the Investors Chronicle Terms & Condition.