The Interim Report for TP70 2010 VCT plc for the 6 months to 31 August 2014 has been published.
The Net Asset Value as at 31 August 2014 is 86.69p per share.
For more detailed information please see the Financial Report below.
A Challenge Led Approach to Venture Capital
Triple Point’s Venture Fund VCT follows a challenge led investment philosophy. By drawing on t...
Triple Point supports wildlife conservation through sponsorship of Explorers against Extinction
As 2019 headline sponsors, it was with great pleasure that Triple Point attended the Explorers again...
Targeting Profit with a Purpose
The notion of sustainable investment has been around for decades, but in the last few years there&rs...