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NET ASSET VALUE – 31 January 2026

MARKN.

On the 31 January 2026 Flerie AB's Net Asset Value (NAV) was SEK 3,285 million and NAV per share was SEK 42.41. Return on NAV per share in the month was -2.73%.

Allocation of NAVShare of portfolio companyFair value (MSEK)Part of NAV per share (SEK)Share of NAV
Product Development    
Prokarium50%2713.508.3%
Empros Pharma79%2042.646.2%
Atrogi44%1972.546.0%
KAHR Medical34%1902.455.8%
Xspray Pharma18%1802.335.5%
Bonsai Biotherapeutics100%1531.974.6%
Xintela60%1511.944.6%
Lipum42%1431.854.4%
Microbiotica10%1211.573.7%
AnaCardio13%791.022.4%
Mendus23%740.952.2%
Geneos Therapeutics15%630.811.9%
EpiEndo Pharmaceuticals9%520.671.6%
Vitara Biomedical11%500.641.5%
Buzzard Pharmaceuticals14%320.411.0%
Egetis Therapeutics1%250.330.8%
Amarna Therapeutics58%110.140.3%
Strike Pharma18%110.140.3%
Alder Therapeutics30%00.000.0%
Total 2,00625.9061.1%





Commercial Growth    
NorthX Biologics61%2022.616.1%
Symcel30%1922.485.8%
Chromafora28%1311.694.0%
Frontier Biosolutions2%250.330.8%
Nanologica44%150.200.5%
Bohus Biotech45%00.000.0%
Total 5667.3017.2%





Assets related to Portfolio companies 2252.916.9%
Other assets and liabilities 4876.2914.8%
     
Net Asset Value 3,28542.41100.0% 
  

 
Datum 2026-02-03, kl 08:00
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