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Digital 9 Infrastructure (DGI9) investor relations material
Digital 9 Infrastructure H1 2026 earnings summary
Complete event summary combining all related documents: earnings call transcript, report, and slide presentation.Executive summary
Initiated Managed Wind-Down, targeting orderly asset realisation and capital return to shareholders.
First compulsory redemption returned £30m (3.5p/share) to shareholders, reducing shares by 37.38%.
Portfolio now consists of Arqiva and Elio Networks; major disposals and debt repayments completed in 2025.
Received £10m from Verne Global earn-out and £0.4m Aqua Comms completion adjustment.
Financial highlights
NAV per share at 30 June 2026: 8.6p (down from 9.3p at 31 Dec 2025).
Net assets: £46.8m (down from £80.2m at 31 Dec 2025).
Net loss for the period: £3.4m, driven by management fees, operating costs, and £1.6m net reduction in investment fair value.
EPS for H1 2026: (0.5p) vs (1.7p) in H1 2025.
Cash at 30 June 2026: £44k (Company), £12.1m (Group).
Outlook and guidance
Further capital returns planned as assets are realised, with wind-down targeted for 2028-29.
Value realisation for Arqiva depends on UK broadcasting policy clarity, debt refinancing, and contract renewals.
Elio Networks focused on buy-and-build strategy and eventual exit.
- NAV dropped 22% to £297m; asset sales and deleveraging set stage for future shareholder returns.DGI9
H2 2024 - Major disposals, RCF repayment, and capital returns defined 2025; Elio grew, Arqiva reset.DGI9
H2 2025 - NAV fell to 32.7p, RCF repaid, and a £111.5m prior year adjustment corrected asset values.DGI9
H1 2025 - NAV fell 41% to £403m as asset sales and wind-down strategy drive major portfolio changes.DGI9
H1 2024
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