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-Record amount of divestments and sharp increase in NAV in H1 2019

Sep 05, 2019 - ENP Newswire
Mergers and Acquisitions

Altamir has committed EUR530m to two new Apax funds.

Net Asset Value per share stood at EUR24.54 as of 30 June 2019 after distribution of a dividend of EUR0.66 per share in June 2019.

Including the dividend, NAV was up 16.0% vs 31 December 2018 (EUR21.72) and up 14.4% vs 31 March 2019, when only listed companies and Snacks Developpement were revalued.

1. PERFORMANCE:

Net Asset Value (shareholders' equity, IFRS basis) stood at EUR896.0m (vs EUR792.9m as of

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