End of H1, NAV was SEK 156 billion (SEK 361/share). NAV increased by 4%, gains in portfolio compensated by leverage increase. 5-y total return of 78.6% (OMX30, 76.4%). Discount to NAV C shares: 4.8%.
What is covered in the Full Insight:
H1 2024 Summary
Net Asset Value Development
Financing
SOTP Valuation
Top Shareholders
SUMMARY
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