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MLN undiluted NAV as at 22/3/22 - $1.0734 Date 22/3/2022 15/3/2022 MLN undiluted NAV $1.0734 $0.9807 Share price close $1.25 $1.14 (Premium) (16%) (16%) The above net asset value (NAV) is unaudited and net of fees and tax. The NAV per share is calculated after deducting treasury stock (shares acquired under the Marlin Global buyback programme) - currently nil. * The undiluted NAV excludes any impact on the NAV of the future exercise of warrants (MLNWE). At 22 March 2022, 47,256,870 warrants are on issue and may be exercised on 20 May 2022. The actual exercise price of each warrant is $1.28 less the dividends per share declared by the company with a record date between 17 May 2021 and the announcement of the 20 May 2022 exercise price. Dividends totalling 9.92 cents per share have been declared to date and there are no more dividends expected to be declared in the remaining period up to the announcement of the 20 May 2022 exercise price. The five largest portfolio holdings at 22 March 2022 are approximately as follows: Meta Platforms 8% PayPal 7% Alphabet 7% Alibaba 6% Amazon 6% BACKGROUND Marlin Global is a listed investment company that invests in growing companies based outside of New Zealand and Australia. The Marlin portfolio is managed by Fisher Funds, a specialist investment manager with a track record of successfully investing in growth company shares. The aim of Marlin is to offer investors competitive returns through capital growth and dividends, and access to a diversified portfolio of investments through a single, tax-efficient investment vehicle. Marlin listed on the NZX Main Board on 1 November 2007 and may invest in companies that are listed on any approved stock exchange (excluding New Zealand or Australia) or unlisted companies not incorporated in New Zealand or Australia. Contact Corporate Manager Marlin Global Limited Tel +64 9 4840352 End CA:00389434 For:MLN Type:MKTUPDTE Time:2022-03-24 15:00:07