Tetragon Financial ( (GB:TFG) ) has shared an announcement.
Tetragon Financial Group Limited has released its Monthly Factsheet for January 2025, reporting a Net Asset Value of $3,194 million and a fully diluted NAV per share of $35.61. The company achieved a monthly NAV per share total return of 0.5% and a monthly return on equity of 0.7%, with the most recent quarterly dividend set at $0.11, resulting in a dividend yield of 2.8%. These figures reflect Tetragon’s ongoing financial performance and provide insights into its market positioning, potentially impacting investor perceptions and stakeholder decisions.
More about Tetragon Financial
Tetragon Financial Group Limited is a Guernsey closed-ended investment company. Its non-voting shares are listed on Euronext in Amsterdam and traded on the Specialist Fund Segment of the Main Market of the London Stock Exchange. The company is managed by Tetragon Financial Management LP and its shares are subject to restrictions on ownership by U.S. persons and are not intended for European retail investors.
YTD Price Performance: 10.71%
Average Trading Volume: 15,352
Technical Sentiment Consensus Rating: Sell
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