News
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PRESS RELEASE
NAV up 2.9% over 9 months, dividend included. Significant recovery in activity since the second quarter
Altamir reports Net Asset Value per share of €35.58 as of 30th September 2024, registering a rise of 2.9% from the previous year, with detailed information on performance, activity, cash, and commitments -
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PRESS RELEASE
NAV up 2.7% in H1 2024, dividend included. Recovery in investment and divestment activity
Altamir's NAV as of 30 June 2024 stood at €1.296.8 million, up 2.7% from 31 December 2023. Portfolio companies had a 13.1% increase in weighted average EBITDA. Activity highlights include €150 million in disposals and nearly €70 million in investments in H1 2024 -
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