Sparta Invest NAV for Sept. 30, 2026 stands at EUR 209.4 million, or EUR 43.45 per share

PUBT · 1d ago
Sparta Invest NAV for Sept. 30, 2026 stands at EUR 209.4 million, or EUR 43.45 per share
  • Sparta Invest set net asset value for the period ended Sept. 30, 2026 at EUR 209.4 million.
  • NAV per share was EUR 43.45.
  • Skeena Resources remained the largest holding, representing about 39% of NAV.
  • Cash and near-cash assets totaled about EUR 49 million.


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