Tetragon Financial Group Limited October 2025 Monthly Factsheet
- Net Asset Value:
$3,881m - Fully Diluted NAV per Share:
$42.08 - Share Price (TFG NA):
$19.20 - Monthly NAV per Share Total Return: 0.0%
- Monthly Return on Equity: 0.1%
- Most Recent Quarterly Dividend:
$0.11 - Dividend Yield: 2.3%
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 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. 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:
[email protected]
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
View original content:https://www.prnewswire.com/news-releases/tetragon-financial-group-limited-october-2025-monthly-factsheet-302627722.html
SOURCE Tetragon Financial Group Limited
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