Ress Life Investments Updates Shareholders on NAV and Performance

Ress Life Investments A/S Shares New NAV Details
Ress Life Investments, based in Copenhagen, is a notable entity in its sector, ensuring transparent communication with its investors. Recently, they announced significant updates regarding their net asset value (NAV) and share performance for the benefit of stakeholders.
Latest Net Asset Value Announcement
On the latest update published, Ress Life Investments A/S shared the NAV per share as of the end of May, revealing a value of 2617.31 USD. This figure is crucial for both existing shareholders and potential investors looking to understand the company's worth and performance in the market.
Performance Overview
In May, the performance was a subtle increase, noted at 0.01% in USD terms. Year-to-date, the net performance exhibited a more robust growth of 0.85%. Such figures reflect the company’s stability and management capacity in effectively handling assets.
Assets Under Management Status
The assets under management (AUM) currently stand at an impressive 257.9 million USD. This amount showcases the trust investors have in Ress Life Investments to manage substantial funds while navigating market uncertainties. The AUM is a key indicator of the company’s health and investor confidence.
Conversion and Availability of NAV
For shareholders using other currencies, Ress Life Investments ensures accessibility by publishing the NAV per share in EUR on the Nasdaq Copenhagen website. This provides essential data that investors can use, relying on the most recently published USD NAV adjusted against the European Central Bank's reference rate.
Contact for Inquiries
Questions about the recent announcements can be directed to Resscapital AB, which serves as the AIF manager for the company. Gustaf Hagerud, the primary contact person, can be reached at +46 8 545 282 27 or via email for any investor-related inquiries or clarifications.
Important Subscription Information
For potential investors, it’s important to note that the terms regarding share subscriptions, including minimum amounts and redemption procedures, are clearly outlined in the Articles of Association, the Information Brochure, and the Key Information Document. All these documents are made available on the company’s official website, enhancing transparency and informed decision-making.
Frequently Asked Questions
What is the current Net Asset Value (NAV) for Ress Life Investments?
The current NAV per share is 2617.31 USD, as reported at the end of May.
What has been the performance of the shares recently?
The performance in May showed a slight increase of 0.01%, with a year-to-date growth of 0.85%.
How much are the assets under management (AUM)?
The assets under management currently are 257.9 million USD.
Where can one find the NAV in EUR?
The NAV is published on Nasdaq Copenhagen's website under AIF Companies and Funds.
Who can I contact for more information?
For inquiries, please contact Gustaf Hagerud at Resscapital AB via email or telephone, as provided in the announcement.
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