Agronomics Ltd

SRI Style:

Social Style

SDR Labelling:

Unlabelled (No CFD)

Product:

Investment Trust

Fund Region:

Global

Fund Asset Type:

Passive / Index

Launch Date:

15/09/2011

Last Amended:

Dialshifter ():

Fund/Portfolio Size:

£m

ISIN:

IM00B6QH1J21

Sustainable, Responsible
&/or ESG Overview:

No response when requested information from manager (as at November 2025)

Primary fund last amended:


Information directly from fund manager.

Sustainable, Responsible &/or ESG Policy:

Agronomics is a leading London-listed company focusing on investment opportunities within the field of clean food/cellular agriculture.

Clean food describes food that is produced in a controlled environment free from microbial contamination, antibiotices, additional growth hormones, pesticides or insecticides, using sustainable and resource-efficient production methods.

Agronomics has an established portfolio with over 20 clean food and biomanufacturing investments covering beef, pork, chicken, egg proteins, dairy, palm oil, cocoa, cotton, leather and a contract manufacturer for fermentation commercialisation.

Investment Policy

The Company will invest in opportunities within the Life Sciences sector, concentrating on, but not being limited to, environmentally friendly alternatives to the traditional production of meat and plant-based nutrition sources (“Clean Food”). The Company will focus on investments that provide scalable and commercially viable opportunities.

The Company will invest in equity and equity related products in both quoted companies, which offer the benefits of liquidity, and in unquoted companies which offer the attraction of additional capital gains upon completion of a successful IPO. The Company may also invest in shares of collective investment schemes with exposure to the Life Science sector and in long-term equity anticipation securities the underlying securities of which will be based on Life Science sector securities and/or indices relating to the Life Science sector. The Fund may invest in Life Science Sector debt. Investments in Life Science sector debt shall not exceed 15 per cent. of the Net Asset Value of the Company.

The Company will be ungeared. The Company will be a passive investor.

The Company aims to deliver capital growth by realising capital gains when it considers that the valuation of individual investments looks to be excessive or, as is often the case in this sector, as a result of trade sales.

Assets and investments will be held by the Company directly or through the individual share custodians of the brokers used by the Company to acquire the shares.

Any material variation to the Investing Policy will require the approval of Shareholders at a general meeting of the Company in accordance with the AIM Rules for Companies.

(Source: website, as at November 2025)

SDR Labelling:

Unlabelled (No CFD)

Literature

Fund Name SRI Style SDR Labelling Product Region Asset Type Launch Date Last Amended

Agronomics Ltd

Social Style Unlabelled (No CFD) Investment Trust Global Passive / Index 15/09/2011

ISIN: IM00B6QH1J21

Sustainable, Responsible &/or ESG Overview

No response when requested information from manager (as at November 2025)

Information received directly from Fund Manager

Please select what you would like to read:

Sustainable, Responsible &/or ESG Policy:

Agronomics is a leading London-listed company focusing on investment opportunities within the field of clean food/cellular agriculture.

Clean food describes food that is produced in a controlled environment free from microbial contamination, antibiotices, additional growth hormones, pesticides or insecticides, using sustainable and resource-efficient production methods.

Agronomics has an established portfolio with over 20 clean food and biomanufacturing investments covering beef, pork, chicken, egg proteins, dairy, palm oil, cocoa, cotton, leather and a contract manufacturer for fermentation commercialisation.

Investment Policy

The Company will invest in opportunities within the Life Sciences sector, concentrating on, but not being limited to, environmentally friendly alternatives to the traditional production of meat and plant-based nutrition sources (“Clean Food”). The Company will focus on investments that provide scalable and commercially viable opportunities.

The Company will invest in equity and equity related products in both quoted companies, which offer the benefits of liquidity, and in unquoted companies which offer the attraction of additional capital gains upon completion of a successful IPO. The Company may also invest in shares of collective investment schemes with exposure to the Life Science sector and in long-term equity anticipation securities the underlying securities of which will be based on Life Science sector securities and/or indices relating to the Life Science sector. The Fund may invest in Life Science Sector debt. Investments in Life Science sector debt shall not exceed 15 per cent. of the Net Asset Value of the Company.

The Company will be ungeared. The Company will be a passive investor.

The Company aims to deliver capital growth by realising capital gains when it considers that the valuation of individual investments looks to be excessive or, as is often the case in this sector, as a result of trade sales.

Assets and investments will be held by the Company directly or through the individual share custodians of the brokers used by the Company to acquire the shares.

Any material variation to the Investing Policy will require the approval of Shareholders at a general meeting of the Company in accordance with the AIM Rules for Companies.

(Source: website, as at November 2025)

SDR Labelling:

Unlabelled (No CFD)

Literature