Ress Life Investments A/S Reports Impressive NAV Growth

Ress Life Investments A/S Delivers Impressive NAV Results
Ress Life Investments A/S has announced its latest Net Asset Value (NAV) per share for investors, evidencing a strong performance in the financial markets.
Current NAV Overview
As of the end of March, the NAV per share stands at an impressive 2613.83 USD. This reflects not only the company's strong asset management strategy but also their ability to respond to market conditions effectively. Over the month of March, the performance was noted at a robust increase of 0.55% in USD, contributing to a year-to-date net performance of 0.72%. The positive return seen in March was largely influenced by favorable policy payouts.
Investors and Fund Management
Assets under management (AUM) for Ress Life Investments currently total an impressive 264.0 million USD. This amount showcases the company's reliability and trustworthiness within the investment community. Investors can have confidence in Ress Life Investments, knowing their assets are being managed with a focus on achieving positive results.
NAV Reporting and Currency Valuation
The NAV in EUR is accessible on the Nasdaq Copenhagen website, particularly in the AIF Companies and Funds section, where current bid and ask prices are also available. It is important to note that the daily NAV in EUR is computed using the most recent NAV in USD and the current EUR/USD exchange rate from the European Central Bank, ensuring that information provided is accurate and reliable.
Contact Information for Inquiries
Further Information on Share Subscription
Ress Life Investments also stipulates that details regarding share subscriptions, including minimum amounts and redemption procedures, can be found in the Articles of Association, the Information Brochure, and the Key Information Document available on the company’s official website.
Frequently Asked Questions
What is the NAV per share for Ress Life Investments A/S?
The current NAV per share for Ress Life Investments A/S is 2613.83 USD.
How did the company perform in March?
The company recorded a performance increase of 0.55% in USD for the month of March.
What is the total AUM for Ress Life Investments?
The total assets under management (AUM) for the company are 264.0 million USD.
Where can I find the NAV in EUR?
The NAV in EUR is published on the Nasdaq Copenhagen website under the AIF Companies and Funds section.
Who should I contact for inquiries?
Inquiries can be directed to Gustaf Hagerud at Resscapital AB via email at gustaf.hagerud@resscapital.com.
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