Altamir: NAV per share edges up over nine months
(CercleFinance.com) - Altamir reports a Net Asset Value per share of E35.
58 at 30 September 2024, after paying a dividend of E1.08 per share on 24 May. Including this dividend, NAV per share was up 2.9% from 31 December 2023.
In the first nine months of the year, proceeds from disposals included E217.8m from eight full disposals, mainly Europe Snacks and Crystal, as well as E75.4m in proceeds from partial disposals and income.
Total investments and commitments amounted to E118.1m, including E77.9m in six new companies, E16.5m via Altaroc Odyssey and Apax funds, and E23.7m in additional investments.
Copyright (c) 2024 CercleFinance.com. All rights reserved.
58 at 30 September 2024, after paying a dividend of E1.08 per share on 24 May. Including this dividend, NAV per share was up 2.9% from 31 December 2023.
In the first nine months of the year, proceeds from disposals included E217.8m from eight full disposals, mainly Europe Snacks and Crystal, as well as E75.4m in proceeds from partial disposals and income.
Total investments and commitments amounted to E118.1m, including E77.9m in six new companies, E16.5m via Altaroc Odyssey and Apax funds, and E23.7m in additional investments.
Copyright (c) 2024 CercleFinance.com. All rights reserved.