Oakley Capital Investments Ltd 2024 AR2
The report highlights Oakley Capital Investments' (OCI) performance for the fiscal year 2024, during which the company achieved a Net Asset Value (NAV) of £1,226 million and a NAV per share of 695 pence. OCI experienced a year of active capital deployment, investing £299 million into new and follow-on investments, while receiving £179 million in look-through proceeds. The underlying portfolio demonstrated robust operating performance with 15% organic LTM EBITDA growth. Additionally, OCI progressed its sustainability initiatives, including the publication of its Investment Adviser's inaugural TCFD report and achieving carbon footprint insights for 100% of its portfolio companies.
Company: Oakley Capital Investments Ltd
Sector: Financials
Country: Bermuda
Year: 2024
Type: AR2
Pages: 207
Oakley Capital Investments Ltd
Annual Report
The report highlights Oakley Capital Investments' (OCI) performance for the fiscal year 2024, during which the company achieved a Net Asset Value (NAV) of £1,226 million and a NAV per share of 695 pence. OCI experienced a year of active capital deployment, investing £299 million into new and follow-on investments, while receiving £179 million in look-through proceeds. The underlying portfolio demonstrated robust operating performance with 15% organic LTM EBITDA growth. Additionally, OCI progressed its sustainability initiatives, including the publication of its Investment Adviser's inaugural TCFD report and achieving carbon footprint insights for 100% of its portfolio companies.
Sign in for free to access detailed sustainability data, reporting standards, and ESG metrics.
Document Details
Report Year
2024
Reporting Period
Jan 1, 2024 - Dec 31, 2024
Fiscal Year
2024
Type
Annual Report with Sustainability Disclosures
Language
English
Pages
File Size
Standards & Assurance
Reporting Standards
Materiality Assessment
ESG Data?Experimental — AI-extracted data, may contain inaccuracies
Women on Board