Multi asset fund Volta Finance sets quarterly dividend of €0.145 per share

Volta Finance

Volta Finance Limited (LON:VTA) has announced that it has declared a quarterly interim dividend of €0.145 per share payable on 29 January 2026 amounting to approximately €5.3 million, approximately equating to an annualised 8% of net asset value. The ex-dividend date is 18 December 2025 with a record date of 19 December 2025.

The Company has arranged for its shareholders to be able to elect to receive their dividends in either Euros or Pounds Sterling. Shareholders will, by default, receive their dividends in Euros, unless they have instructed the Company’s Registrar, Computershare Investor Services (Guernsey) Limited, to pay dividends in Pounds Sterling.  Such instructions may be given to Computershare either electronically via CREST or by using the Currency Election Form which has been posted to shareholders and a copy of which is also available on the website www.voltafinance.com within the “Investors – Other Documents” section. The deadline for receipt of currency elections is 12:00 (midday) on 15 January 2026.

Share on:
Find more news, interviews, share price & company profile here for:

Latest Company News

Structured products are shaping fixed income strategy

Custom-built solutions like these help investors shape portfolio outcomes more precisely in today’s challenging market environment.

Multi asset fund Volta Finance reports +0.3% December return, NAV at €7.09 per share

In its December 2025 update, Volta Finance reported a +0.3% monthly return and +2.7% year-to-date performance.

Structured products gain ground in yield-focused portfolios

Structured products give investors tailored access to markets, yield and risk exposure through defined-outcome instruments.

CLO market adapts to tight loan supply and strong investor demand

Strong demand and tighter loan supply are reshaping how CLOs are built and where investor opportunities lie.

Volta Finance shifts investment mandate to BNP Paribas

Volta Finance moves to BNP Paribas Asset Management Europe with no change to strategy, team or fees, reinforcing long-term investor continuity.

Volta Finance appoints BNP Paribas Asset Management Europe as investment manager

Volta Finance Limited has appointed BNP Paribas Asset Management Europe as its new investment manager, effective 31 December 2025, following the merger of AXA Investment Managers and BNP Paribas Asset Management.

Search

Search