Tag: Fully Diluted NAV


  • Tetragon Financial Group November 2025 NAV Update and Review

    Tetragon Financial Group November 2025 NAV Update and Review

    Overview of the November 2025 Factsheet The November 2025 monthly factsheet from Tetragon Financial Group Limited provides a concise snapshot of the company’s asset base, per-share values, and month-to-month performance metrics. Key numbers reported include a Net Asset Value (NAV) of $3,877 million and a Fully Diluted NAV per share of $41.85. These figures anchor…

  • Tetragon Nov 2025 Factsheet: NAV & Returns Insight

    Tetragon Nov 2025 Factsheet: NAV & Returns Insight

    Overview of Tetragon’s November 2025 Factsheet Tetragon Financial Group Limited released its November 2025 monthly factsheet, highlighting key metrics for investors as the year approaches its end. The report provides a snapshot of net asset value (NAV), fully diluted NAV per share, and the month’s return on a per-share basis. These figures help investors gauge…