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Altamir : 	 NAV down 0.4% over 9 months, dividend included 	 	 -November 08, 2023 at 11:55 am EST - Vimarsana News

Altamir : 	 NAV down 0.4% over 9 months, dividend included 	 	 -November 08, 2023 at 11:55 am EST

Paris, 8 November 2023 – Net Asset Value per share stood at €34.71 as of 30 September 2023, after distribution of a dividend of €1.08/share on 26 May. Including the dividend, NAV was down...

Altamir : 	 NAV up 0.9% in H1 2023, dividend included. The portfolio proved resilient 	 	 -Today at 04:10 pm - Vimarsana News

Altamir : 	 NAV up 0.9% in H1 2023, dividend included. The portfolio proved resilient 	 	 -Today at 04:10 pm

First-half 2023 highlights : NAV as of 30 June 2023: €1,284.2m, or €35.17/share Weighted average EBITDA of portfolio companies up 1.4% over the first half Activity in line with the...

 - Vimarsana News

Paris, 11 May 2023 – Altamir's Net Asset Value per share was €35.59 as of 31 March 2023, down 0.9% from 31 December 2022 . We remind investors that as of 31 March and 30 September... | May 11, 2023

ALTAMIR: Altamir's NAV as of 31 March 2023: EUR 35.59/share. Significant slowdown in activity during the quarter - Vimarsana News

ALTAMIR: Altamir's NAV as of 31 March 2023: EUR 35.59/share. Significant slowdown in activity during the quarter

Paris, 11 May 2023 - Altamir's Net Asset Value per share was €35.59 as of 31 March 2023, down 0.9% from 31 December 2022 (€35.93). We remind investors that as of 31 March and 30 September Altamir

 - Vimarsana News

Highlights of 2022: NAV as of 31 December 2022: €1,312.0m, or €35.93/share, down 2% in 2022 Against a troubled geopolitical and economic environment: weighted average... | March 8, 2023