Ress Life Investments A/S Highlights Net Asset Value Achievement
Ress Life Investments A/S has officially unveiled its Net Asset Value (NAV) per share as of the end of the specified month. The NAV highlights an impressive performance, showcasing the company’s commitment to managing its assets effectively and efficiently.
Understanding Net Asset Value (NAV)
The Net Asset Value (NAV) is an essential metric used by investment companies to assess the value of their total assets relative to their liabilities. It represents the per-share value of a company's assets, crafted diligently to reflect current market circumstances. This figure is closely monitored by investors, as it indicates the company's health, performance, and profitability.
Recent NAV Figures and Performance
As of the latest report, the NAV per share is quoted at 2599.42 USD. Over the month of February, the company has realized a growth of 0.19% in USD, contributing to a year-to-date net performance of 0.16%. This steady growth highlights the resilience and adept management of the funds under the company's care.
Assets Under Management
Ress Life Investments A/S boasts impressive assets under management (AUM) totaling 264.9 million USD. Such a substantial figure showcases their strong position in the investment marketplace and the trust placed by investors in their management capabilities.
Conversion of NAV to EUR
The company informs stakeholders that the NAV per share in EUR is readily available, updated daily based on relevant economic factors. By utilizing the European Central Bank’s EUR/USD reference rate, the company ensures that the NAV reflects current market conditions accurately, providing investors with transparent and accessible information.
Company Contact and Further Information
For inquiries related to the latest NAV announcement, interested parties can connect with the company’s AIF-manager, Resscapital AB. Gustaf Hagerud is the primary contact person for assistance. He can be reached at +46 8 545 282 27 or via email for further discussion.
Investment Insights and Share Information
Transparency is paramount for Ress Life Investments A/S as they provide crucial documentation regarding shares' subscription terms, minimum subscription amounts, and redemption processes. All pertinent information can be found on their official website, ensuring that investors have access to the necessary resources.
Frequently Asked Questions
What is the current NAV per share for Ress Life Investments A/S?
The current NAV per share is 2599.42 USD as of the latest reporting period.
How has Ress Life Investments A/S performed recently?
In February, the company experienced a 0.19% growth in USD, while the year-to-date performance stands at 0.16%.
What are the assets under management for the company?
Ress Life Investments A/S manages assets totaling 264.9 million USD.
How can investors reach out for more information?
Investors can contact Gustaf Hagerud at +46 8 545 282 27 or via email for further inquiries.
Where can I find detailed share information?
Detailed information regarding share subscriptions and other documentation is available on the company's official website.