$44.50
+0 (+0%)
At Close: Dec 08, 2021
Firsthand Technology Value Fund Announces Fiscal Year Financial Results, NAV of $0.15 Per Share
04:15pm, Wednesday, 26'th Mar 2025
SAN JOSE, Calif., March 26, 2025 (GLOBE NEWSWIRE) -- Firsthand Technology Value Fund, Inc. (OTCQB: SVVC) (the “Fund”), a publicly traded venture capital fund that invests in technology and cleante
Exor Press Release - FY24 Results
01:10pm, Wednesday, 26'th Mar 2025
Amsterdam, 26 March 2025 EXOR DELIVERS 9% NAV PER SHARE GROWTH IN 2024 LAUNCH OF A €1 BILLION SHARE BUYBACK PROGRAM WITH TENDER OFFER AT UP TO 10% PREMIUM NAV reached €38.2 billion at 31 December
2 Dividend Stocks That Could Potentially Double Soon (26-33% Free Cash Flow Yields)
07:10am, Wednesday, 26'th Mar 2025
One stock is trading at just 44% of NAV, with a free cash flow yield over 30% — and a path to possibly doubling in the near future. Another has a publicly traded holding worth more than its market c
Porsche Automobil Holding: A Compelling Investment Due To NAV Discount
02:12pm, Wednesday, 19'th Mar 2025
Porsche Automobil Holding SE holds significant stakes in Volkswagen Group and Porsche and small stakes in portfolio investments in the automotive industry. Both Volkswagen Group and Porsche have shown
NBPE Announces February Monthly NAV Estimate
03:00am, Tuesday, 18'th Mar 2025
THE INFORMATION CONTAINED HEREIN IS NOT FOR RELEASE, PUBLICATION OR DISTRIBUTION IN OR INTO AUSTRALIA, CANADA, ITALY, DENMARK, JAPAN, THE UNITED STATES, OR TO ANY NATIONAL OF SUCH JURISDICTIONS
Portman Ridge Finance: NAV Continues To Slide (Rating Downgrade)
04:32pm, Monday, 17'th Mar 2025
PTMN's NAV and earnings are declining, with poor new investment activity and a recent 32% dividend cut, prompting a downgrade to a sell rating. The portfolio is diverse and mostly secured, but non-acc
Supermarket Income REIT focused on costs and bridging the NAV gap
04:54am, Tuesday, 11'th Mar 2025
Supermarket Income REIT PLC (LSE:SUPR, OTC:SUPIF) has reported a solid first half and remains focused on boosting earnings to help close the gap between its share price and the value of its assets. Ch
Fidus Investment: Strong Dividend Coverage But Lacks Growth (Rating Downgrade)
07:00am, Monday, 10'th Mar 2025
Fidus Investment offers a strong dividend yield of 10.5%, supported by robust earnings and low non-accrual rates, making it attractive for income-focused investors. Despite recent price growth, FDUS t
Macquarie Asset Management expands active ETF platform with high yield municipal bond ETF
09:00am, Thursday, 06'th Mar 2025
NEW YORK--(BUSINESS WIRE)--Today, Macquarie Asset Management expanded its active exchange-traded fund (ETF) platform with the launch of Macquarie National High-Yield Municipal Bond ETF (HTAX). Managed
Bain Capital Specialty Finance: Q4 Results Show NAV Growth & Strong Dividend Coverage
12:16pm, Monday, 03'rd Mar 2025
Bain Capital Specialty Finance operates as a business development company that continues to demonstrate high-quality characteristics. The portfolio's diversity and 84% first lien structure provide a d
NBPE Announces January Monthly NAV Estimate
02:00am, Monday, 03'rd Mar 2025
3 March 2025 NB Private Equity Partners (NBPE), the $1.3bn1, FTSE 250, listed private equity investment company managed by Neuberger Berman, today announces its 31 January 2025 monthly NAV estimate. N
Tetragon Financial Group Limited January 2025 Monthly Factsheet
01:55am, Friday, 28'th Feb 2025
LONDON , Feb. 28, 2025 /PRNewswire/ -- Tetragon has released its Monthly Factsheet for January 2025. Net Asset Value: $3,194m Fully Diluted NAV per Share: $35.61 Share Price (TFG NA): $15.60 Monthly�
5 REITs Ripe For Buyout
06:00pm, Thursday, 27'th Feb 2025
M&A is beneficial for target shareholders, offering premiums of 10%-50%, and identifying potential buyout targets involves analyzing specific features like discount to NAV and valuation disparity. REI
Pantheon International notes January rise in NAV per share
04:01am, Wednesday, 26'th Feb 2025
Pantheon Resources PLC (AIM:PANR, OTCQX:PTHRF), in its monthly report, stated its net asset value (NAV) per share at 509.3p at the end of January marking a 1% increase on the prior month. Total NAV st
Eagle Point Income: Distribution Remains Well Covered As NAV Grows
01:27am, Wednesday, 26'th Feb 2025
Eagle Point Income remains a buy due to strong net investment income, low default rates, and a growing NAV. EIC's portfolio, heavily focused on CLO debt investments, benefits from higher interest rate
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