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Chainlink· 2025-11-06 21:00
3/ @PSGDigitalLLc has adopted CRE for Net Asset Value (NAV) calculations and Proof of Reserve to leverage near real-time reserves verification while using ACE for seamless compliance.This enables accurate onchain data, enhanced transparency, and compliant distribution of tokenized financial products. ...
Ress Life Investments A/S publishes Net Asset Value (NAV).
Globenewswire· 2025-08-15 15:15
Core Points - Ress Life Investments A/S published its Net Asset Value (NAV) per share as of July 31, 2025, which is reported at USD 2594.03 [1] - The performance for July 2025 is -0.57% in USD, while the year-to-date net performance stands at -0.05% in USD [1] - The total Assets Under Management (AUM) for the company are reported to be USD 251.1 million [1] Additional Information - The NAV per share in EUR is available on the Nasdaq Copenhagen website, calculated using the most recent NAV in USD divided by the European Central Bank's EUR/USD reference rate [2] - For inquiries related to the announcement, the contact person is Gustaf Hagerud from Resscapital AB [2]