Edge Performance VCT
Edge Performance VCT is currently closed to new investment.
Online access to your information via The Hub
You may now access details of your shareholding online by using the Hub. The Hub is an on-demand online tool which allows you to:
- view your shareholding and associated indicative valuation;
- view your transaction history, share certificate details and dividend information;
- make sure your personal details, as held on the register, are up to date;
- change your personal details (including your address, email and bank account details); and
- find answers to frequently asked questions.
Registering and accessing The Hub
You can access the Hub by clicking here. If you have not already done so, you will need to create an account by selecting ‘Create your Hub account’ towards the bottom of the screen. Once you have entered your details and clicked ‘Create Account’, you will then need to enter your Investor Access Token, which should be found on any recent dividend confirmation and / or share certificate. You will then have access to a range of information concerning your shareholding, as outlined above, as soon as your access request has been authorised by The City Partnership (UK) Limited. If you do not have your Investor Access Token, please contact The City Partnership (UK) Limited on (01484) 240910 or at email@example.com
|Half Yearly Report for the 6 months ended 31 August 2020||View|
|Annual Report and Financial Statement for the year ended 29 February 2020||View|
|Half Yearly Report for the 6 months ended 31 August 2019||View|
|Annual Report and Financial Statement for the year ended 28 February 2019||View|
|Half Yearly Report for the 6 months ended 31 August 2018||View|
|Annual Report and Financial Statement for the year ended 28 February 2018||View|
|Half Yearly Report for the 6 months ended 31 August 2017||View|
|Annual Report and Financial Statement for the year ended 28 February 2017||View|
|Half Yearly Report for the 6 months ended 31 August 2016||View|
|Annual Report and Financial Statement for the year ended 29 February 2016||View|
|Half Yearly Report for the 6 months ended 31 August 2015||View|
|Annual Report and Financial Statement for the year ended 28 February 2015||View|
|Half Yearly Report for the 6 months ended 31 August 2014||View|
|Annual Report and Financial Statement for the year ended 28 February 2014||View|
|Half Yearly Report for the 6 months ended 31 August 2013||View|
|Annual Report and Financial Statement for the year ended 28 February 2013||View|
|Half Yearly Report for the 6 months ended 31 August 2012||View|
|Annual Report and Financial Statement for the year ended 29 February 2012||View|
|Half Yearly Report for the 6 months ended 31 August 2011||View|
|Annual Report and Financial Statement for the year ended 28 February 2011||View|
|Half Yearly Report for the 6 months ended 31 August 2010||View|
|Annual Report and Financial Statement for the year ended 28 February 2010||View|
|Half Yearly Report for the 6 months ended 31 August 2009||View|
|Annual Report and Financial Statement for the year ended 29 February 2009||View|
|Half Yearly Report for the 6 months ended 31 August 2008||View|
|Annual Report and Financial Statement for the year ended 29 February 2008||View|
|Half Yearly Report for the 6 months ended 31 August 2007||View|
|Annual Report and Financial Statement for the year ended 28 February 2007||View|
|Half Yearly Report for the 6 months ended 31 August 2006||View|
Shareholder Relations Contact: Hannah Williamson
Telephone: 020 7317 1308
The Board welcomes the views of shareholders and puts a premium on effective communication with its shareholders.
All written communication with shareholders is reviewed by the Board to ensure that shareholder enquiries are promptly and adequately resolved.
Shareholders are encouraged to attend the Company’s general meetings, where the directors and representatives of the Investment Manager and of the Company’s other advisers will be available to answer any questions shareholders may have.
The Board also communicates with shareholders through half-yearly and annual reports which include a chairman’s statement and the Investment Manager’s review, both of which are reviewed and approved by the Board to ensure that they present a fair assessment of Edge Performance VCT’s position and future prospects.
Click here to view the Investment Policy
Edge Performance VCT plc (“Edge Performance VCT” or the “Company”), was incorporated and registered in England and Wales on 8 September 2005 with registered number 05558025 as a public company with limited liability under the Companies Act 1985. Its registered office and its principal place of business is at 1 Marylebone High Street, London W1U 4LZ (telephone number 020 7317 1300).
The Company’s principal object is to carry on the business of a venture capital trust company.
The Company does not have any subsidiaries.
The principal legislation under which Edge Performance VCT operates is the Companies Act and the regulations made thereunder. Save for its compliance with the Companies Act (and the regulations from time to time made thereunder), the Listing Rules, the Disclosure and Transparency Rules, the Prospectus Rules and VCT Rules, the Company is not an authorised regulated entity.
Edge Performance VCT’s company secretary, The City Partnership (UK) Limited, acts as custodian of the Company’s unquoted investments. The City Partnership (UK) Limited is registered under the Money Laundering Regulations 2007 and is listed on the FCA register with number 593293.
At present the board of directors of Edge Performance VCT (the “Board” or “Directors”), constitutes Terry Back as non-executive director and Chairman, Peter Bazalgette as non-executive director, Aubrey Brocklebank as non-executive director, Robin Goodfellow as non-executive director and Robin Miller as non-executive director.
Directors are provided with key information on the Company’s activities including regulatory and statutory requirements and internal controls by the Company’s solicitors, the Company’s VCT status adviser, the company secretary and the Investment Manager. The Board has direct access to corporate governance advice and compliance services through the company secretary, who is responsible for ensuring that board procedures are followed and compliance requirements are met.
The Board is responsible to shareholders for the proper management of the Company and aims to meet at least quarterly. It has formally adopted a schedule of matters which must be brought to it for decision, thus ensuring that it maintains full and effective control over appropriate strategic, financial, operational and compliance issues. The Chairman, together with the company secretary, establishes the agenda for each board meeting and all necessary papers are distributed in advance of the meetings. The Board considers all matters not included within the remits of the board committees.
All of the Directors are equally responsible for the proper conduct of the Company’s affairs. In addition, the Directors are responsible for ensuring that the policies and operations are in the best interests of the shareholders and that the best interests of creditors and suppliers to the Company are properly considered.
Board has formed an audit committee, a nomination committee and a remuneration committee. The members of these committees are:
|Audit||Aubrey Brocklebank (Chairman), Robin Goodfellow and Robin Miller|
|Nomination & Remuneration||Robin Miller (Chairman) and Terry Back|
The duties of the audit committee include reviewing the half-yearly and annual accounts, the system of internal controls, the terms of appointment of the auditor and the auditor’s remuneration, and ensuring that auditor objectivity and independence is safeguarded in the provision of non audit services by the auditor. It also provides a forum through which the auditor may report to the Board and meets at least twice a year.
The nomination committee reviews potential appointments to the Board and the appropriateness of the terms of appointment of the Directors.
The Board has established an ongoing process for the identification, evaluation and management of the significant risks faced by the Company. The Board acknowledges that it is responsible for the Company’s internal control systems and for reviewing their effectiveness. Internal controls are designed to manage the particular needs of the Company and the risks to which it is exposed. The internal control systems aim to ensure the maintenance of proper accounting records, the reliability of the financial information on which business decisions are made and which is used for publication, and that the assets of the Company are safeguarded. They can by their nature provide only reasonable and not absolute assurance against material misstatement or loss. The financial controls operated by the Board include regular reviews of both the financial results and investment performance.
The Board has delegated to third parties the provision of: investment management services; legal and VCT status advisory services; day-to-day accounting, company secretarial and administration services; and share registration services.
Each of these contracts was entered into after full and proper consideration by the Board of the quality and cost of services offered. The Board receives and considers regular reports from the investment manager.
Ad hoc reports and information are supplied to the Board as required. The Board keeps under review the terms of the agreement with the investment manager.
The process adopted by the Board for identifying, evaluating and managing the risks faced by Edge Performance VCT includes an annual review of the control systems. The review covers a consideration of the significant risks in each of five areas: statutory and regulatory compliance, financial reporting, investment strategy, investment performance and reputation.
Each risk is considered with regard to; the likelihood of occurrence, the probable impact on Edge Performance VCT and the controls exercised at source, through reporting and at Board level.
The Board is responsible for the determination and calculation of the net asset value of Edge Performance VCT, which is undertaken quarterly and included in the announcement of annual results of Edge Performance VCT, half-year results of Edge Performance VCT and interim management statements. All unquoted investments will be valued bi-annually in accordance with IPEVC Valuation Guidelines under which investments are not normally re-valued above cost within twelve months of acquisition and thereafter are carried at fair value. Any AIM or other quoted investment will be valued at the bid price of its shares as derived from the Daily Official List of the London Stock Exchange.
Edge Investments is the trading name of Edge Investments Limited, which was incorporated and registered in England on 13 July 2005 with registered number 05507396. Its principal place of business and registered office is at 1 Marylebone High Street, London W1U 4LZ (telephone number 020 7317 1300). It is authorised and regulated by the Financial Conduct Authority (FCA number: 455446).
|7 January : Directorate Change||View|
|18 December: Half-yearly Financial Report||View|
|11 December: Updated Net Asset Values||View|
|26 November: Dividend Declaration||View|
|25 November 2020: Half-year Report||View|
|10 November: Director Declaration||View|
|21 September: Updated Net Asset Values||View|
|02 September: Director/PDMR Shareholding||View|
|01 September: Results of AGM and class meetings||View|
|01 September: Results of General Meeting||View|
|31 July: Director/PDMR Shareholding||View|
|30 July: Proposed new IMA and admin agreement||View|
|29 July: Directorate Change||View|
|29 July: Annual Financial Report||View|
|7 May: Share Valuations and Portfolio Updates||View|
|13 May: Corporate Update||View|
|13 May: Price Monitoring Extension||View|
|21 April Updated Net Asset Values||View|
|12 February: Form 8.3 – Audioboom Group plc||View|
|10 October: Investee company corporate action||View|
|23 September: Realisation of investment||View|
|13 September :Corporate Update||View|
|13 September: Appointment of Directors||View|
|29 August: Results of Annual General Meeting||View|
|07 June: TR1 Notification of major shareholding||View|
|06 June: Annual Financial Report||View|
|06 July : Results of I Share Class Meeting||View|
|12 June : Results of General Meeting||View|
|12 June : Results of Annual General Meeting||View|
|15 May : Publication of Circular||View|
|15 May : Annual Financial Report||View|
|01 May : Total Voting Rights||View|
|10 April : Director/PDMR Shareholding||View|
|06 April : Director/PDMR Shareholding||View|
|06 April : Issue of Equity||View|
|15 January : Offer for Subscription||View|
|18 August : Results of AGM||View|
|17 August : Directorate change||View|
|17 August : Directorate change||View|
|09 June : Annual financial report||View|
|20 January : Quarterly update||View|
|28 October : Half yearly report||View|
|16 September : Result of Conversion of Shares||View|
|31 August : Restructure of Share Classes/Waiver of Carried Interest||View|
|30 August : Temporary Suspension of Trading||View|
|25 August : Result of AGM||View|
|22 August : G & I share interim dividend declarations||View|
|19 August : Capital Simplification||View|
|04 August : Variation of Investment Management Agreement||View|
|31 March : Directorate Change||View|
|18 January : Quarterly Update||View|
|30 October : Half yearly report||View|
|6 August : Results of AGM||View|
|30 June : Annual Financial Report||View|
|23 April : Issue of Equity||View|
|17 April : Issue of Equity||View|
|07 April : Director Shareholding||View|
|07 April : Director PDMR Shareholding||View|
|07 April : Issue of Equity||View|
|16 January : Quarterly Update||View|
|11 December : Dividend declaration||View|
|04 December : Results of General Meeting||View|
|03 December : Results of General Meeting||View|
|18 November : Dividend Declaration||View|
|04 November : Dividend Declaration||View|
|04 November : Publication of Prospectus||View|
|31 October : Half-yearly Report||View|
|07 August : Results of AGM||View|
|26 June : Annual Financial Report||View|
|26 June : Retirement of Director||View|
|06 June : Issue of Equity||View|
|06 June : Confirmation of Issue Price||View|
|23 May : Dividend Declaration||View|
|23 May : Closing Date of H Offer||View|
|23 May : Reinstatement of Allotment||View|
|17 April : Postponement of Allotment||View|
|17 April : Postponement of Dividend||View|
|07 April : Issue of Equity||View|
|07 April : Director/PDMR Shareholding||View|
|17 January : Interim Management Statement||View|
Edge Performance VCT Circular
Edge Performance VCT non-prospectus offer
Annual General Meeting & Class Meetings