Volta Finance Limited
Below you will find information from the register publication of inside information. The information has been provided by the organisation.
Registration date
22 oct 2015 - 08:00
Statutory name
Volta Finance Limited
Title
Volta Finance Limited : Net Asset Value(s)
Comments
Volta Finance Limited (VTA) - September 2015 monthly report
NOT FOR RELEASE, DISTRIBUTION OR PUBLICATION, IN WHOLE OR IN PART, IN OR INTO THE UNITED STATES
*****
Guernsey, 22 October 2015
PERFORMANCE
At the end of September 2015, the Estimated NAV of Volta Finance Limited (the "Company", "Volta Finance" or "Volta") was €293.0m or €8.02 per share, a decrease of €0.14 per share, or -1.7%, since the end of August 2015.
The YTD NAV performance for the 2015 calendar year, including the April dividend paid, stands at +8.6% as at the end of September.
Date last update: 09 April 2026