BIF - Valuation Adjustment Update
Page 1 of 1
28 November 2024
Valuation Adjustment Update
Booster announced on 26 November that a negative adjustment was to be made to the unit price of the
Fund of 3.25% following the notification that one of its investee entities was planning to proceed to
liquidation. Booster also confirmed it was in process of completing its monthly assessment of value of
each of the investments in the portfolio and would confirm the outcome of this review.
The outcome of this review was a net reduction of a further $145,000 (net of any allowance for
performance fees and tax) which represents 0.75% of the Fund. The resulting value of the Fund is $19.1
million with an approximate net asset value of $1.469 per unit. This valuation adjustment will be
reflected in the unit price for 27 November 2024 (which will be calculated and issued on 29 November
2024).
The valuation adjustments predominately reflect the challenging capital raising environment for some
companies and, to a lesser extent, positive and negative valuation adjustments have been made for some
businesses based on progress towards their business plans.
For more information, please contact:
Gary Scott
Company Secretary
Booster Investment Management Limited
04 8944300
About Booster
Booster Investment Management Limited (Booster) is the manager and issuer of the Fund, and part of
the Booster Group which has been helping New Zealanders save since 1998. The group currently
administers superannuation and investment funds of over $7 billion on behalf of more than 200,000 New
Zealanders.
BIF is a managed investment fund that invests in early-stage companies founded on intellectual property
originated or developed in New Zealand.
For more information, including a copy of the Product Disclosure Statement, please visit
www.booster.co.nz
Data sourced from publicly available filings. Our datasets may not be complete. Automated analysis can produce errors. If you believe any data on this page is incorrect, please contact us at hello@nzxplorer.co.nz. For informational purposes only. Not investment advice.