Mobeus Income & Growth VCT plc

Welcome to the webpage of Mobeus Income & Growth VCT plc (formerly Matrix Income & Growth VCT plc). The Company was launched in the 2004/2005 tax year and raised £20.9 million, net of issue costs. It merged with Matrix Income & Growth 3 VCT plc on 20 May 2010.

 

From 4 December 2023, the Mobeus VCTs changed registrar to The City Partnership (UK) Limited. Their contact details can be found under Directors & Advisors.

 

 

Mobeus Income & Growth VCT plc Live Share Price Dividends Fund's Top 10 Investments Directors & Advisers

Fund's Board of Directors and advisers, including the Investment Adviser and the Registrar

Key Shareholder Information

Company's Annual and Half-Year Reports, AGM Notices, Key Information documents

Corporate Governance

Corporate Governance, Compliance with AIC Code, Terms of reference and Policies

Mobeus Income & Growth 2 VCT plc Mobeus Income & Growth 4 VCT plc The Income & Growth VCT plc

Key facts

Date Launched

July 2004

Company Number

5153931

Investment Adviser

Gresham House Asset Management Limited

Auditor

BDO LLP

Registered Office

5 New Street Square, London EC4A 3TW

Directors

Clive Boothman

Bridget Guerin

Lucy Armstrong

Registrar

The City Partnership (UK) Limited

LSE Code

MIX

Fund Performance

Latest published
valuation
Net assets
(£m)
Net asset value
(pence per share)
Total dividends paid
(pence per share)
NAV cumulative total return
(pence per share)
31 Dec 2023 96.0 58.4 166.3 224.7

Reviewing the performance of your investment:

Use the attached table to see how your investment has performed (including the dividends you have received) from the date on which your shares were allotted.

Cumulative dividends paid
since launch
Dividends paid in respect
of current financial year

In respect of financial year
Paid in financial year

Dividends paid per share in respect of financial year

Dividend paid per share

Dividends paid per share in financial year

Dividend paid per share
Show Detailed Payment History
Payment Date In respect of y/e Type Dividends paid per
share (p)
08 Nov 2023 31/12/2023 Interim 4.5
26 May 2023 31/12/2023 Interim 5.0
07 Nov 2022 31/12/2022 Interim 4.0
15 Jul 2022 31/12/2022 Interim 4.0
07 Jan 2022 31/12/2021 Interim 4.0
12 Jul 2021 31/12/2021 Interim 5.0
17 Dec 2020 31/12/2020 Interim 5.0
07 May 2020 31/12/2020 Interim 6.0
08 Jan 2020 31/12/2019 Interim 4.0
06 Dec 2019 31/12/2019 Interim 2.0
20 Sep 2019 31/12/2019 Interim 4.0
17 May 2019 31/12/2018 Final 5.0
21 Sep 2018 31/12/2018 Interim 2.0
17 May 2018 31/12/2017 Final 3.0
08 Dec 2017 31/12/2017 Interim 4.0
13 Sep 2017 31/12/2017 Interim 9.0
31 Mar 2017 31/12/2016 Interim 6.0
20 Sep 2016 31/12/2016 Interim 8.5
31 May 2016 31/12/2015 Final 7.0
17 Sep 2015 31/12/2015 Interim 3.0
30 Apr 2015 31/12/2014 Special 7.0
17 Sep 2014 31/12/2014 Interim 17.0
14 May 2014 31/12/2013 Final 3.3
18 Sep 2013 31/12/2013 Interim 4.0
15 May 2013 31/12/2012 Final 2.0
20 Sep 2012 31/12/2012 Interim 5.0
22 May 2012 31/12/2011 Final 6.3
15 Sep 2011 31/12/2011 Interim 0.5
27 May 2011 31/12/2010 Final 5.0
21 Apr 2010 31/12/2009 Interim 5.0
15 May 2009 31/12/2008 Final 1.0
11 Sep 2008 31/12/2008 Interim 3.3
21 May 2008 31/12/2007 Final 7.8
20 Sep 2007 31/12/2007 Interim 1.0
18 May 2007 31/12/2006 Final 1.4
14 Sep 2006 31/12/2006 Interim 0.8
16 May 2006 31/12/2005 Final 0.7
27 Sep 2005 31/12/2005 Interim 0.3
Total dividends paid since launch 166.3

There is no Dividend Investment Scheme for this Company at present.

Net asset value per share
as at 31 Dec 2023*
Net asset value cumulative total return
per share since launch*

* adjusted for dividends paid since this date


Latest

Period End Net asset
(£m)
Net asset
value per share
(pence per share)
Cumulative dividends
paid per share
(pence per share)
Net asset value
cumulative total return
(pence per share)
31 Dec 2023 96.0 58.4 166.3 224.7

Note: All figures are adjusted from when a dividend has become ex-div in the period after which a NAV has been announced.

Show current and historical data at year end
Period End Net asset
(£m)
Net asset
value per share
(pence per share)
Cumulative dividends
paid per share
(pence per share)
Net asset value
cumulative total return
(pence per share)
31 Dec 2023 96.0 58.4 166.3 224.7
31 Dec 2022 100.3 64.0 156.8 220.8
31 Dec 2021 113.0 90.3 144.8 235.1
31 Dec 2020 84.7 67.0 139.8 206.8
31 Dec 2019 71.9 68.8 124.8 193.6
31 Dec 2018 75.1 70.3 113.8 184.1
31 Dec 2017 69.9 71.8 108.8 180.6
31 Dec 2016 63.2 83.5 89.8 173.3
31 Dec 2015 74.1 97.5 74.3 171.8
31 Dec 2014 60.4 99.4 64.3 163.7
31 Dec 2013 54.3 102.2 44.1 146.3
31 Dec 2012 43.3 94.2 38.1 132.3
31 Dec 2011 40.7 95.6 26.8 122.4
31 Dec 2010 38.5 96.7 21.3 118.0
31 Dec 2009 17.0 83.3 16.3 99.6
31 Dec 2008 18.0 86.5 15.3 101.8
31 Dec 2007 25.7 116.9 4.2 121.1
31 Dec 2006 22.3 100.6 1.8 102.4

NAV Cumulative Total Return

The following chart shows the net asset value cumulative total return at the end of the financial year (net asset value plus cumulative dividends paid since inception) expressed as pence per share.

Net asset value plus cumulative dividends paid per share (p)
NAV Cumulative total return over five years to 31 Dec 2022 %
NAV Cumulative Total Return since launch* to 31 Dec 2022 %

* - 'Launch' is based upon an issue price at launch of 94.5 pence (being 100 pence less 4.5 pence issue costs).

Year End Annual NAV cumulative total return%
31 December 2022 (15.8)%
31 December 2021 42.2%
31 December 2020 19.3%
31 December 2019 13.6%
31 December 2018 4.9%