29 Dec 2023
Tetragon has released its Monthly Factsheet for November 2023.
- Net Asset Value: $2,800m
- Fully Diluted NAV Per Share: $29.78
- Share Price (TFG NA): $9.72
- Monthly NAV per share total return: 2.4%
- Monthly Return on Equity: 2.8%
- Most recent quarterly dividend: $0.11
- Dividend yield: 4.5%
No comments:
Post a Comment
Thanks for reaction. Bedankt voor je reactie.