ZUG, Switzerland - Partners Group Private Equity Limited (LSE: PEY/PEYS), a global private equity investment manager, has announced a net asset value (NAV) increase of 4.4% in December, bringing the ...
Publicly listed US equity real estate investment trusts closed Jan. 31 at a median 13.8% discount to their consensus net ...
As readers will be well aware, sometimes even the most reliable, well-run company can fall out of favour. How you react to ...
NAV per share $80.59 NEW YORK, Feb. 07, 2025 (GLOBE NEWSWIRE) -- (NASDAQ: PFX, PFXNZ) (the "Company"), a publicly traded business development company, today announced its financial results for the ...
Capital Markets initiated coverage on Portman Ridge Finance Corp. (NASDAQ:PTMN), a $156.71 million market cap company, with a Buy rating and a price target of $19.00. The firm's analyst pointed to the ...
Mutual fund units are allocated at the NAV on the day the application is processed. A mutual fund's value is equal to the sum ...
NAV performance during the month driven by: 0.8% NAV decrease ($10 million) from the receipt of private company valuation information 0.5% NAV decrease ($6 million) from negative FX movements 0.7% NAV ...
Bandhan Asset Management Company Limited manages assets worth ₹ 1,66,325.67 crores. It’s current offering of mutual fund schemes includes 30 equity, 26 debt and 10 hybrid schemes. What is the ...