Home News 21 November 2025 Redemption of GBP New Run-Off Cell (Run-Off) Shares

The Fund is pleased to confirm that it is distributing in aggregate approximately £5.9 million
to those persons registered as holders of Run-Off Shares as at 30 September 2025, by way
of compulsory redemption of a portion of each holder’s Run-Off Shares, representing
approximately 24.86% of total Run-Off Shares NAV.

The exact amount payable to each Run-Off Shareholder, and the number of Run-Off Shares
redeemed, will be confirmed on a contract note to be issued in due course. Payment of
redemption proceeds will normally be processed within 30 days of the dealing day, subject
to receipt of any requested original due diligence paperwork.