Pantheon International extends maturity of multi-currency facility

27th Oct 2025 10:30

(Sharecast News) - Pantheon International announced on Monday that it has extended the maturity of its multi-currency revolving credit facility by a further year to October 2029, maintaining its £400m equivalent commitment while securing lower borrowing costs.

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Pantheon International NAV increases in July

29th Aug 2025 07:12

(Sharecast News) - Private equity investor Pantheon International said on Friday that its net asset value had increased 3.7% in July to 510.4p per share, primarily by favourable foreign exchange movements and valuation gains, while total NAV grew to £2.3bn.

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Pantheon International appoints new chair

31st Jul 2025 12:28

(Sharecast News) - Pantheon International announced on Thursday that Tony Morgan would become chair of the board from 1 January 2026, succeeding John Singer CBE, who would retire from the role and as a non-executive director at the end of the year.

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Pantheon Intl. says volatility has impacted discount to NAV per share

25th Apr 2025 07:36

(Sharecast News) - Analysts at Pantheon International reported just a dip in the business's net asset value during the month of March.

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Director dealings: Pantheon International director raises stake

29th Aug 2024 14:25

(Sharecast News) - Pantheon International revealed on Thursday that non-executive director John Burgess had acquired 166,038 ordinary shares in the FTSE 250-listed investment trust.

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Pantheon International appoints new portfolio manager

14th Jun 2024 09:07

(Sharecast News) - Pantheon International announced the appointment of Charlotte Morris as its co-lead portfolio manager on Friday.

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Pantheon International net asset value broadly stable in April

24th May 2024 11:39

(Sharecast News) - Pantheon International announced an unaudited net asset value per share of 489.7p as of 30 April on Friday, reflecting a 0.3% increase from the prior month.

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Pantheon net asset value expands 0.9pc in March

26th Apr 2024 08:12

(Sharecast News) - Pantheon International reported a 0.9% month-on-month improvement in its unaudited net asset value per share in March on Friday, to 488.1p, as its total net asset value stood at £2.3bn.

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Pantheon International NAV per share falls in March

21st Apr 2023 07:37

(Sharecast News) - Pantheon International (PIP) reported an unaudited 31 March net asset value (NAV) of 456.6p per share in an update on Friday.

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Pantheon International reports good net asset value growth in March

23rd Apr 2021 08:49

(Sharecast News) - Pantheon International reported an unaudited net asset value per share of 3,274.4p as at 31 March on Friday, making for an increase of 119.5p, 3.8%, from the end of February.

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Director dealings: Pantheon International director snaps up shares via trust

8th Jan 2021 16:27

(Sharecast News) - Pantheon International said on Friday that non-executive director John Burgess' The November 1990 Trust had acquired 153,081 ordinary shares in the FTSE 250-listed private equity investor.

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Pantheon International reports decent first-half returns

27th Feb 2020 09:29

(Sharecast News) - Pantheon International said its underlying assets generated returns of 5.2% in the first six months of its financial year on Thursday which, after the effect of foreign exchange movements, resulted in net asset value per share growth of 1.0%, to 2,799.2p.

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Director dealings: Pantheon International director ups stake

10th Dec 2019 16:46

(Sharecast News) - Pantheon International revealed on Tuesday that non-executive director Dame Sue Owen had purchased 820 ordinary shares in the FTSE 250-listed investment trust.

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Pantheon International performance remains strong in first half

27th Feb 2019 09:34

(Sharecast News) - Pantheon International reported a 10.7% improvement in its net asset value per share in its half-year results on Wednesday, to 2,674.3p.

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Pantheon International NAV falls in December

25th Jan 2019 08:29

(Sharecast News) - Pantheon International (PIP) announced an unaudited net asset value (NAV) per share as at 31 December of 2,627.0p on Friday - a decrease of 47.3p, or 1.8%, from its NAV per share as at 30 November.

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