Third Point Investors Limited Publishes Weekly NAV Estimate
The investment company has published its weekly estimated net asset value.
The investment company has published its weekly estimated net asset value.
The investment company reports its May 2025 NAV performance, with returns lagging broader market indices. More details on the company's financial position and outlook are needed to fully assess the situation.
The investment company reports its monthly net asset value, with a slight decline in performance over the past month and year-to-date.
The asset management firm reports its NAV performance for April 2025, with the fund returning -0.5% on a NAV basis during the month.
The asset manager reported a 3.7% decline in its flagship fund during the first quarter as trade war concerns weighed on markets, leading to a slowdown in deal-making and financing activity.
This investment company reported a robust 25.5% NAV growth, outperforming major indices. All strategies contributed positively, but management has adopted a cautious stance due to global economic concerns.
The asset management firm has released its weekly estimate of the Net Asset Value for its shares.
The investment company provides an update on its ongoing strategic review, indicating progress and plans to present recommendations to shareholders in the near future.
The investment company has announced changes to its major shareholders and director holdings.
The asset management firm reports a decline in February NAV performance amid challenging market conditions.