VTAS Volta Finance (GBP)

Volta Finance Limited - Net Asset Value(s) as at 30 September 2020

Volta Finance Limited - Net Asset Value(s) as at 30 September 2020
EN
12/10/2020

Underlying

To request access to management, click here to engage with our
partner Phoenix-IR's CorporateAccessNetwork.com

Reports on Volta Finance (GBP)

 PRESS RELEASE

Volta Finance Limited - Net Asset Value(s) as at 31 August 2025

Volta Finance Limited - Net Asset Value(s) as at 31 August 2025 Volta Finance Limited (VTA / VTAS)August 2025 monthly reportNOT FOR RELEASE, DISTRIBUTION, OR PUBLICATION, IN WHOLE OR PART, IN OR INTO THE UNITED STATES Guernsey, September 24th 2025 AXA IM has published the Volta Finance Limited (the “Company” or “Volta Finance” or “Volta”) monthly report for August 2025. The full report is attached to this release and will be available on Volta’s website shortly (). Performance and Portfolio Activity Dear Investors, In August, Volta Finance achieved a net performance of -0.8% bringing y...

 PRESS RELEASE

Directorate change

Directorate change Volta Finance Limited (VTA/VTAS) Directorate Changes NOT FOR RELEASE, DISTRIBUTION OR PUBLICATION, IN WHOLE OR IN PART, IN OR INTO THE UNITED STATES Guernsey, 24 September 2025 Retirement of a director The Board of Volta Finance Limited (“the Board”) announces that Mr Stephen Le Page, a non-executive director, has notified the Company of his intention to retire from the Board with effect 4 December 2025 by not standing for re-election at the Company’s upcoming Annual General Meeting. Mr Le Page has been on the Board since 2014, and the Directors would like to expr...

 PRESS RELEASE

Volta Finance Limited - Dividend Declaration

Volta Finance Limited - Dividend Declaration Volta Finance Limited (VTA/VTAS) Dividend Declaration NOT FOR RELEASE, DISTRIBUTION OR PUBLICATION, IN WHOLE OR IN PART, IN OR INTO THE UNITED STATES Guernsey, 24 September 2025 Volta Finance Limited ("the Company") hereby announces that it has declared a quarterly interim dividend of €0.155 per share payable on 23 October 2025 amounting to approximately €5.6 million, approximately equating to an annualised 8.27% of net asset value. The ex-dividend date is 2 October 2025 with a record date of 3 October 2025. The Company has arranged for i...

Mark Thomas ... (+2)
  • Mark Thomas
  • Nigel Hawkins

Hardman & Co Monthly: September 2025

Feature article: IICS/REIFS – NAV discounts and the ill wind from Denmark Since the start of 2024, the share prices of the eight Infrastructure Investment Companies (IICs) and of the 18 Renewable Energy Infrastructure Funds (REIFs) have been generally weak – and, conspicuously, have failed to recover the losses of 2023. Undoubtedly, high interest rates have undermined the sector – and there is no certainty that they will fall significantly. Not only has this situation adversely affected NAVs, b...

 PRESS RELEASE

Volta Finance Limited Net Asset Value(s) as at 31 July 2025

Volta Finance Limited Net Asset Value(s) as at 31 July 2025 Volta Finance Limited (VTA / VTAS)July 2025 monthly reportNOT FOR RELEASE, DISTRIBUTION, OR PUBLICATION, IN WHOLE OR PART, IN OR INTO THE UNITED STATES Guernsey, August 21st, 2025 AXA IM has published the Volta Finance Limited (the “Company” or “Volta Finance” or “Volta”) monthly report for July 2025. The full report is attached to this release and will be available on Volta’s website shortly (). Performance and Portfolio Activity Dear Investors, In July, Volta Finance achieved a net performance of +2.48% (including a dividend...

ResearchPool Subscriptions

Get the most out of your insights

Get in touch