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IN BRIEF: Pantheon International records monthly growth in net assets

ALN

Pantheon International PLC - investment trust focused on private equity - Net asset value per share as at April 30 rises 3.8% to 447.4 pence from NAV per share as at March 31. Says valuation gains were 1.3% in April. Attributes this to £29.7 million of new commitments during the month. Reports its NAV total return per share amounted to 34% in the year to April 30, beating the 8.7% of the FTSE All-Share Index and 6.9% of the MSCI World Index.

Notes that it invested £4.3 million in share buybacks throughout April, repurchasing 1.4 million shares at a weighted average price of 315.8p per share.

Current stock price: 291.50 pence, up 4.1% on Monday

12-month change: up 9.4%

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