Boussard & Gavaudan Holding Limited: Performance Overview
Boussard & Gavaudan Holding Limited is a well-known player in investment management. Recent updates from the company are essential for investors who are monitoring the performance of their shares. A clear understanding of the net asset value (NAV) is crucial for making informed decisions about investments in both Euro and Sterling shares.
Latest Estimated NAV
As of the close of business on an unspecified date, the estimated NAV is as follows:
Euro Shares
The estimated NAV for Euro shares is €28.7380, indicating strong returns for shareholders.
Sterling Shares
The estimated NAV for Sterling shares is £25.7379, reflecting a robust performance in the market. This data highlights the company's solid position and the confidence investors have in it.
Monthly and Year-to-Date Returns
Investors typically pay close attention to both monthly and year-to-date (YTD) performance metrics to identify trends and make predictions about future returns.
Estimated MTD Return
The estimated month-to-date return for Euro shares is 0.33%, while Sterling shares have slightly outperformed with a return of 0.34%.
Estimated YTD Return
In terms of year-to-date performance, Euro shares have shown a significant increase of 4.32%, whereas Sterling shares are ahead with a return of 4.75%. This is promising news for both current and potential investors.
Long-Term Investment Performance
Long-term performance metrics are essential for assessing the growth and health of any investment. Boussard & Gavaudan Holding Limited has reported impressive figures in this regard.
Estimated ITD Return
Since inception, the estimated internal rate of return (ITD) for Euro shares has reached an impressive 187.38%. Sterling shares are close behind with a return of 157.38%. These figures suggest effective management of the investment fund.
Market Insights and Share Trading
Staying informed about market conditions is crucial for investors, as these factors can significantly impact share prices.
Current Market Information
The current closing market price for Euro shares is €27.40, indicating a premium/discount to the estimated NAV of -4.66%.
Trading Insights for Sterling Shares
For Sterling shares, the market price is GBX 2,200.00, reflecting a notable discount from the estimated NAV of -14.52%.
Transactions in Own Securities
Understanding how a company manages its own shares can provide valuable insights into its operational strategies.
Purchased Securities
At this time, there have been no significant transactions in own securities reported for either Euro or Sterling shares, suggesting a stable ongoing strategy.
Liquidity Enhancement Agreement
Investors benefit from being aware of arrangements that improve liquidity.
Share Management Insights
Details regarding the number of shares and pricing ranges under liquidity enhancement agreements remain unreported, indicating that the company may be in a waiting phase regarding market conditions.
BGHL Capital Overview
According to the latest updates, the shares outstanding include 12,299,516 for Euro shares and 123,090 for Sterling shares. This positions Boussard & Gavaudan Holding Limited with a substantial amount of equity available in the market.
Estimated BG Fund NAV
The broader BG Fund continues to show strong performance with estimated NAV figures of €259.3490 for Class B Euro Shares and £137.8942 for Class GBP A Shares. These numbers demonstrate the fund's stability.
Investor Support and Contact Information
For investors interested in learning more or seeking clarification, they can contact Boussard & Gavaudan Investment Management using the following details:
Emmanuel Gavaudan +44 (0) 20 3751 5389 Email: info@bgam-uk.com
Frequently Asked Questions
What does NAV represent?
NAV, or Net Asset Value, refers to the total value of a fund's assets minus its liabilities, typically expressed on a per-share basis.
Why is the estimated NAV important?
The estimated NAV gives investors valuable insights into the value and performance of their investments, helping them determine whether the fund is trading at a premium or discount.
How do I interpret the returns mentioned?
The monthly and year-to-date returns reflect how much the investment has increased or decreased in value during those specific timeframes.
What is the significance of performance fees?
Performance fees are charged by the investment manager based on the fund's performance, which incentivizes them to achieve better results for investors.
Who should I contact for more information about my investments?
For detailed inquiries regarding investments in Boussard & Gavaudan Holding Limited, you can reach out to Emmanuel Gavaudan using the email and phone number provided above.