Tuesday, November 30, 2021

Tetragon Financial Group Limited October 2021 Monthly Factsheet

LONDON, Nov. 30, 2021 /PRNewswire/ -- Tetragon has released its Monthly Factsheet for October 2021. Net Asset Value: $2,566m Fully Diluted NAV Per Share: $26.85 Share Price (TFG NA): $8.82 Monthly NAV per share total return: 0.8% Monthly Return on Equity: 0.9% Most recent quarterly...



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