Tetragon Financial Group Limited : June 2021 Monthly Factsheet
Tetragon Financial Group Limited : June 2021 Monthly Factsheet 07/30/2021 | 01:56am EDT Send by mail : Message : - Net Asset Value: $2,500m - Fully Diluted NAV Per Share: $26.38 - Share Price (TFG NA): $9.62 - Monthly NAV per share total return: 0.8% - Monthly Return on Equity: 1.0% - Most recent quarterly dividend: $0.10 - Dividend yield: 4.2% Please click below to access the Monthly Factsheet. About Tetragon: Tetragon is a closed-ended investment company that invests in a broad range of assets, including public and private equities and credit (including distressed securities ...