Company Nippon Active Value Fund plc

Equities

NAVF

GB00BKLGLS10

Closed End Funds

Market Closed - London S.E. 11:35:00 2024-05-24 am EDT 5-day change 1st Jan Change
166.5 GBX -1.77% Intraday chart for Nippon Active Value Fund plc -2.06% +2.78%

Business Summary

Nippon Active Value Fund plc is a United Kingdom-based closed-ended investment company. The Company's investment objective is to provide shareholders with attractive long-term capital growth primarily through the active management of a focused portfolio of quoted companies 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. Additionally, while the Company intends that the majority of its investments will be in quoted companies, it may also make investments in unquoted companies and the Company may become invested in unquoted companies as a result of corporate actions or commercial transactions undertaken by quoted companies. The Company will not be constrained by any index benchmark in its asset allocation. Its investment adviser is Rising Sun Management Limited.

Sales per Business

GBP in Million2021Weight2022Weight Delta
Investment and Related Activities
100.0 %
30 100.0 % 7 100.0 % -77.60%

Sales per region

GBP in Million2021Weight2022Weight Delta
United Kingdom
100.0 %
30 100.0 % 7 100.0 % -77.60%

Members of the board

Members of the board TitleAgeSince
Director/Board Member 68 23-10-10
Director/Board Member 70 19-11-13
Director/Board Member 67 19-11-13
Chairman 70 19-11-13
Director/Board Member 61 19-10-21
Director/Board Member 55 23-10-09
Director/Board Member - 19-10-21

Share class

VoteQuantityFree-FloatCompany-owned sharesTotal Float
Stock A 1 189,141,704 182,110,420 ( 96.28 %) 0 96.28 %

Shareholders

NameEquities%Valuation
Dalton Investments LLC
20.33 %
38,460,001 20.33 % 82 M p
1607 Capital Partners LLC
7.776 %
14,707,873 7.776 % 31 M p
Brooks Macdonald Asset Management Ltd.
1.624 %
3,070,800 1.624 % 7 M p
Hawksmoor Investment Management Ltd.
1.447 %
2,736,508 1.447 % 6 M p
Brompton Asset Management LLP
1.172 %
2,216,400 1.172 % 5 M p
Unicorn Asset Management Ltd.
0.2729 %
516,131 0.2729 % 1 M p
Evelyn Partners Investment Management LLP
0.2139 %
404,539 0.2139 % 861 122 p
Longchamp Asset Management SAS
0.1745 %
330,000 0.1745 % 702 455 p
State Street Global Advisors Ltd.
0.0920 %
173,976 0.0920 % 370 334 p
Rachel Hill
0.0612 %
115,791 0.0612 % 246 479 p

Holdings

NameEquities%Valuation
2,500,000 3.46% 27,039,050 $
2,262,200 0.97% 26,997,185 $
3,000,000 5.32% 25,698,210 $
2,000,000 5.19% 25,482,160 $
1,462,500 4.39% 23,977,702 $
1,485,600 4.86% 21,986,865 $
1,000,000 0.68% 21,764,690 $
871,400 3.45% 20,626,979 $
886,700 6.86% 19,073,360 $
1,191,000 4.33% 17,952,229 $

Company contact information

Nippon Active Value Fund Plc

125 London Wall 6th Floor

EC2Y 5AS, London

+

http://www.nipponactivevaluefund.com
address Nippon Active Value Fund plc(NAVF)
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