Tetragon has released its Monthly Factsheet for
- Net Asset Value:
$3,091m - Fully Diluted NAV Per Share:
$34.66 - Share Price (TFG NA):
$13.30 - Monthly NAV per share total return: 2.7%
- Monthly Return on Equity: 3.0%
- Most recent quarterly dividend:
$0.11 - Dividend yield: 3.3%
Please refer to important disclosures on page three of the Monthly Factsheet.
Please click below to access the Monthly Factsheet.
About Tetragon:
Tetragon is a Guernsey closed-ended investment company. Its non-voting shares are listed on Euronext (EPA:) in Amsterdam, a regulated market of Euronext Amsterdam N.V., and also traded on the Specialist Fund Segment of the Main Market of the London Stock Exchange (LON:). Our investment manager is Tetragon Financial Management LP. Find out more at www.tetragoninv.com.
Tetragon’s non-voting shares are subject to restrictions on ownership by
Please see: https://www.tetragoninv.com/shareholders/additional-information.
Tetragon Investor Relations:
Press Inquiries:
Prosek Partners
[email protected]
This release does not contain or constitute an offer to sell or a solicitation of an offer to purchase securities in the United States or any other jurisdiction. The securities of Tetragon have not been and will not be registered under the