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...