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TPOU

-0.80%
NEUTRAL

Third Point Investors Limited Publishes Weekly NAV Estimate

Why we think this is neutral

This RNS announcement is a routine weekly update on the estimated Net Asset Value of Third Point Investors Limited. It does not contain any significant news or updates that would warrant a positive or negative sentiment score.

Key Points

  • Weekly estimate of Net Asset Value for Third Point Investors Limited
  • Estimated NAV of USD $30.15 as of April 9th, 2025
  • Month-to-date performance of -2.4% and year-to-date performance of -5.5%

Summary

The asset management firm has released its weekly estimate of the Net Asset Value for its shares.

Third Point Investors Limited has published its weekly estimate of the Net Asset Value (NAV) for its USD shares as of April 9th, 2025. The estimated NAV is USD $30.15, with a month-to-date performance of -2.4% and a year-to-date performance of -5.5%.

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