Oakley Capital Investments Ltd 2025 AR2
The report details Oakley Capital Investments' financial and operational performance for the fiscal year 2025. Key highlights include a 6% increase in Net Asset Value (NAV) to £1,233 million and a Total Shareholder Return of 15%. The company successfully transitioned its listing to the Main Market of the London Stock Exchange, leading to its subsequent inclusion in the FTSE 250 Index. Additionally, OCI completed a £50 million share buyback programme, which contributed an 11 pence gain to the NAV per share. The report also highlights the company's ongoing commitment to sustainability, focusing on climate change, employee engagement, and cybersecurity across its portfolio.
Company: Oakley Capital Investments Ltd
Sector: Financials
Country: Bermuda
Year: 2025
Type: AR2
Pages: 214
Oakley Capital Investments Ltd
Annual Report
The report details Oakley Capital Investments' financial and operational performance for the fiscal year 2025. Key highlights include a 6% increase in Net Asset Value (NAV) to £1,233 million and a Total Shareholder Return of 15%. The company successfully transitioned its listing to the Main Market of the London Stock Exchange, leading to its subsequent inclusion in the FTSE 250 Index. Additionally, OCI completed a £50 million share buyback programme, which contributed an 11 pence gain to the NAV per share. The report also highlights the company's ongoing commitment to sustainability, focusing on climate change, employee engagement, and cybersecurity across its portfolio.
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Document Details
Report Year
2025
Reporting Period
Jan 1, 2025 - Dec 31, 2025
Fiscal Year
2025
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