(the “Company”) today announced the following net asset value (“NAV”) estimate as of February 28, 2025. Management’s unaudited estimate of the range of the NAV per share of our common ...
Partners Value Split Corp. (the "Company", TSX: PVS.PR.G, PVS.PR.H, PVS.PR.I, PVS.PR.J, PVS.PR.K, PVS.PR.L) announced today that the net asset value per unit ...
1. Revenue items included in net asset value, with dividends payable deducted on the ex-dividend date. 2. Following the share buyback of 200,000 ordinary shares on 19th March 2025, the Company has 190 ...
Net asset value of $8.43 per share dipped from $9.06 per share at Sept. 30. "NAV per share was impacted in the fourth quarter by stressed investments, which we continue to actively manage and ...
Vivendi gives net asset value after group's break-up in Dec Confirms plan to eventually sell Telecom Italia stake Shares rise as much as 4.9% on Friday March 7 (Reuters) - Vivendi (VIV.PA), opens ...
Vivendi said on Thursday that the net asset value of its investments amounted to 4.83 billion euros ($5.23 billion) as of December 31, 2024, following the break-up of the French publishing group ...