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BRIMSTONE INVESTMENT CORPORATION LIMITED - Voluntary Quarterly Intrinsic Net Asset Value (NAV) disclosure

Release Date: 13/11/2025 16:00
Code(s): BRT BRN     PDF:  
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Voluntary Quarterly Intrinsic Net Asset Value (“NAV”) disclosure

Brimstone Investment Corporation Limited
(Incorporated in the Republic of South Africa)
Registration number 1995/010442/06
Share Code: BRT ISIN: ZAE000015277
Share Code: BRN ISIN: ZAE000015285
("Brimstone" or the "Company")

Voluntary Quarterly Intrinsic Net Asset Value ("NAV") disclosure

A full analysis of the Intrinsic NAV, together with applicable explanations for the quarter ended 30 September 2025 is set out below.

Summary                                             Change Dec 2024 to            30 Sep 2025              31 Dec 24             31 Dec 23    31 Dec 22   31 Dec 21
                                                             Sep 2025


Intrinsic NAV of Brimstone (Rm)                                  (22.8%)               2 069.3               2 681.4               2 978.9      3 287.2     3 255.6
Intrinsic NAV per share (cents) ¹                                (22.5%)                 859.8               1 110.1               1 213.3      1 325.0     1 314.0
Fully diluted Intrinsic NAV per share (cents) ¹                  (22.9%)                 832.5               1 079.1               1 187.7      1 301.5     1 292.6
Market price per share (cents)
   Ordinary shares                                               (15.5%)                  426                    504                    511        526         630
   'N' Ordinary shares                                           (10.7%)                  451                    505                    485        563         649
Discount to Intrinsic NAV
  Ordinary shares                                                                       50.5%                 54.6%                 57.9%        60.3%       52.1%
  'N' Ordinary shares                                                                   47.5%                 54.5%                 60.0%        57.5%       50.6%
Intrinsic NAV analysis by asset

An analysis of the Intrinsic NAV of Brimstone as at 30 September 2025 is set out below, including the valuation basis of each asset. Where applicable, Intrinsic NAV is net of ring-fenced
debt and potential CGT relating to that asset.

Asset                    % held         Closing    Closing    Valuation Basis       Gross         Debt        CGT      Sep 2025       Sep 2025          Gross        Dec 2024        Dec 2024     Increase /
                                          share      share                          Value       (R'000)    (R'000)         INAV     INAV/share        portfolio   INAV (R'000)     INAV/share    (Decrease)
                                        price at   price at                        (R'000)                               (R'000)        (cents)      weighting                         (cents)
                                         30 Sep     31 Dec
                                           2025       2024
                                                              Market value per
Oceana 2                  25.2%            49.50     67.48    share              1 620 339             -          -    1 620 339         673.3           41.8%       2 208 899          914.5       (26.4%)
                                                              Market value per
Sea Harvest 2             44.2%             8.50      8.35    share              1 356 251             -          -    1 356 251         563.5           35.0%       1 332 317          551.6          2.2%
                                                              Market value per
Phuthuma Nathi              1.3%           56.00     81.01    share                50 144              -          -       50 144          20.8            1.3%         72 538            30.0       (30.7%)
                                                              Market value per
MTN Zakhele Futhi           1.3%            3.15      8.00    share                 4 926              -          -        4 926            2.0           0.1%         13 448              5.6      (64.3%)
FPG Property Fund         10.0%                               Book value          492 388              -   (71 835)      420 553         174.7           12.7%        379 807           157.2        11.1%
FPG Investments             1.4%                              Market approach      56 331              -          -       56 331          23.4            1.5%         50 000            20.7        13.0%
Aon Re Africa             18.0%                               PE valuation        100 860              -          -      100 860          41.9            2.6%         70 640            29.2        43.5%
Obsidian                  70.0%                               Book value           78 080              -          -       78 080          32.4            2.0%         66 989            27.7        17.0%
SAED                      25.0%                               Book value           71 962              -          -       71 962          29.9            1.9%         70 155            29.0          3.1%
Other Investments,                                            Valuation
Assets & Liabilities     Various                                                   40 418              -    23 395        63 813          26.5            1.0%         46 682            19.3        37.3%
Cash / (Net debt)        100.0%                               Book value            8 156    (1 762 160)          -   (1 754 004)       (728.8)           0.1%     (1 630 117)         (674.9)         8.0%
                                                                                 3 879 855   (1 762 160)   (48 440)    2 069 255           860          100.0%       2 681 358          1 110       (22.5%)

Intrinsic NAV per share (cents)                                                      1 612         (732)       (20)          860
Fully diluted Intrinsic NAV per share (cents)                                        1 561         (709)       (19)          832



Notes:

1. Based on 241 million shares (December 2024: 242 million shares) in issue, net of treasury shares as calculated below:


                                                                                                                Number of shares in issue         Fully diluted number of shares
     Gross number of shares in issue                                                                                         264 850 108                            264 850 108
     Treasury shares (fully diluted number is net of notionally realised unvested FSPs)                                      (24 180 115)                           (16 288 289)
     Net shares in issue for Intrinsic NAV purposes                                                                          240 669 993                            248 561 819
 2. No CGT provided on shareholding in Oceana and Sea Harvest due to potential use of the corporate relief provisions of the Income Tax Act.


The Intrinsic NAV information presented has been prepared on a basis consistent with that used in the integrated report for the year ended 31 December 2024, which is available
on the Company's website at www.brimstone.co.za.

The above information is the responsibility of the directors and has not been reviewed or reported on by the Company's auditors.

13 November 2025

Sponsor
Nedbank Corporate and Investment Banking. a division of Nedbank Limited

Date: 13-11-2025 04:00:00
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