Silchester Partners Limited

Silchester Partners Limited

Trading as: Cape Ann Asset Management
#03000514 Active
B2bServices

Cape Ann Asset Management is an independent investment firm focused on maximizing client wealth through a disciplined value investment process in global developing markets equity. Founded in 2015, they are dedicated to exceptional client service for institutional investors, consultants, and family offices.

Founded: 12/12/1994
Industries: Financial intermediation not elsewhere classified
Location: London

Products

  • Equity Investment Program

Services

  • Global Developing Markets Equity Investment

Financial Snapshot

Last accounts made up to 31 March 2024
Next accounts due 31 December 2025 (7 months)
Cash in Bank £3.7m
↓ -86%
Turnover £103.78m
↑ 14%
Total Liabilities £43.06m
↑ 18%

Directors

Role:
Investment Manager
Appointed:
01/10/2023
Nationality:
French
Age:
58 years
Role:
Head Of Operations
Appointed:
01/04/2011
Nationality:
American
Age:
54 years
Role:
Investment Management
Appointed:
25/01/1995
Nationality:
British
Age:
74 years

People with Significant Control

Caroline Butt
Nature of Control:
Ownership Of Shares 25 To 50 Percent
Notified On:
06/04/2016
Nationality:
French
Stephen Charles Butt
Nature of Control:
Ownership Of Shares 25 To 50 Percent
Notified On:
06/04/2016
Nationality:
British
Mar 2024Mar 2023Mar 2022
Income Statement
Turnover
Export Revenue
Sales
Other Operating Income
Other Operating Items
Cost of Sales
Raw Materials & Consumables
Gross Profit
Admin Expenses
Other Operating Charges
Depreciation
R&D Expenses
Operating Profit
EBITDA
Financial Revenue
Financial Expenses
Financial Profit/Loss
Interest Paid
Extraordinary Revenue
Extraordinary Expenses
Net Extraordinary Items
Pre-Tax Profit
Tax
Profit After Tax
Retained Profit
Balance Sheet
Non-Current Assets
Intangible Assets
Tangible Fixed Assets
Other Non-Current Assets
Current Assets
Stock
Debtors
Cash in Hand
Other Current Assets
Called Up Share Capital
P&L Account Reserve
Shareholder Funds
Other Shareholder Funds
Provisions
Long Term Debt
Creditors (> 1 year)
Other Non-Current Liabilities
Short Term Debt
Creditors
Creditors (< 1 year)
Other Current Liabilities
Key Metrics
Net Assets
Net Current Assets
Total Assets Less Current Liabilities
Working Capital
Enterprise Value
Added Value
Cashflow Before D&A
Other Information
Staff Costs
Number of Employees
56 shareholders available
Shareholder 1
Shares:
Percentage:
Filing Date:
Shareholder 2
Shares:
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Shares:
Percentage:
Filing Date:

Charges

4 charges registered
The Northern Trust Company, London Branch as Lender Outstanding
Created 02/07/2019
#030005140004 Negative Pledge
Crown Estate Commissioners Satisfied
Created 11/04/2002

Deposit of £35,000.00 in a deposit account.

Properties

No property information available

0 issuances recorded

Total Amount Raised (Valid Issuances)

Shares Issued (Valid Issuances)

Date CLASS
Shares Issued:
Price Per Share:
Amount Raised:
Filing:
Date CLASS
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Price Per Share:
Amount Raised:
Filing:

Grants

No grant information available

Group Structure

Government Council Contracts Beta

No council contracts found

Company Filings

17/03/2025 Address

Change Registered Office Address Company With Date Old Address New Address

17/03/2025 Persons With Significant Control

Change To A Person With Significant Control

17/03/2025 Persons With Significant Control

Change To A Person With Significant Control

17/03/2025 Officers

Change Person Director Company With Change Date

17/03/2025 Officers

Change Person Director Company With Change Date

17/03/2025 Officers

Change Person Director Company With Change Date

25/02/2025 Incorporation

Memorandum Articles