Manager firm
Chrysalis Investment Partners LLP
Structure
other
AIC sector
Growth Capital
Base currency
GBP
Latest factsheet
2026-05-05
Snapshot date
2025-08-31
Manager firm
Chrysalis Investment Partners LLP
Structure
other
AIC sector
Growth Capital
Base currency
GBP
Latest factsheet
2026-05-05
Snapshot date
2025-08-31
Share price
80.00p
NAV / share
137.27p2026-03-31
Premium / discount
-41.72%
Fund size
—
OCF
—
Performance fee
—
Gearing
—
Dividend yield
—
Manager firm
Chrysalis Investment Partners LLP
Structure
other
AIC sector
Growth Capital
Base currency
GBP
Latest factsheet
2026-05-05
Snapshot date
2025-08-31
Share price
80.00p
NAV / share
137.27p2026-03-31
Premium / discount
-41.72%
Fund size
—
OCF
—
Performance fee
—
Gearing
—
Dividend yield
—