Tetragon financial group limited february 2025 monthly factsheet

London , march 31, 2025 /prnewswire/ -- tetragon has released its monthly factsheet for february 2025. net asset value: $3,172m fully diluted nav per share: $35.32 share price (tfg na): $15.45 monthly nav per share total return: -0.8% monthly return on equity: -0.7% most recent quarterly dividend: $0.11 dividend yield: 2.8% please refer to important disclosures on page three of the monthly factsheet.
NAV Ratings Summary
NAV Quant Ranking