By Iain Gilbert
Date: Friday 29 Aug 2025
LONDON (ShareCast) - (Sharecast News) - Private equity investor Pantheon International said on Friday that its net asset value had increased 3.7% in July to 510.4p per share, primarily by favourable foreign exchange movements and valuation gains, while total NAV grew to £2.3bn.
During July, Pantheon invested £7.0m in share buybacks, bringing its year-to-date total to £19m out of a £30m allocation earmarked for the period between June and the August NAV publication, repurchasing 2.17m shares at a weighted average price of 321.1p per share - an average discount of 35.0% to the prevailing net asset value per share at the time of the transactions.
Pantheon also said it had committed £47.3m to new investments in July, including a co-investment in US-based Penta Group, a manager-led secondary transaction alongside Five Arrows, and a primary commitment to Hg Genesis 11. Net portfolio cash flow was £8.6m at the end of the month, with distributions of £23.1m exceeding capital calls of £14.5m.
The trust also said its net debt to NAV ratio stood at 9.5%, excluding its Asset Linked Note, with £105m drawn from its £400m revolving credit facility and $150m in private placement notes outstanding.
Reporting by Iain Gilbert at Sharecast.com
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Currency | UK Pounds |
Share Price | 329.00p |
Change Today | 1.50p |
% Change | 0.46 % |
52 Week High | 340.00p |
52 Week Low | 266.00p |
Volume | 517,610 |
Shares Issued | 441.84m |
Market Cap | £1,453.64m |
RiskGrade | 101 |
Value |
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Price Trend |
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Income | ![]() |
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Growth |
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No dividends found |
Time | Volume / Share Price |
16:35 | 112,138 @ 329.00p |
16:35 | 3,374 @ 329.00p |
16:35 | 978 @ 329.00p |
16:35 | 2,396 @ 329.00p |
16:35 | 4,849 @ 329.00p |
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