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NET ASSET VALUE – 31 May 2026

MARKN.

On the 31 May 2026 Flerie AB's Net Asset Value (NAV) was SEK 3,466 million and NAV per share was SEK 36.44. Return on NAV* in the month was -0.34%.

Allocation of NAVShare of portfolio companyFair value (MSEK)Part of NAV per share (SEK)Share of NAV
Product Development    
Lipum100%3483.6610.0%
Prokarium50%2772.918.0%
Empros Pharma79%2042.155.9%
KAHR Medical34%1992.095.7%
Xspray Pharma17%1982.085.7%
Atrogi44%1972.075.7%
Bonsai Biotherapeutics100%1581.664.6%
Microbiotica10%1241.313.6%
Xintela60%1101.163.2%
AnaCardio13%790.832.3%
Mendus23%750.792.2%
Geneos Therapeutics12%660.701.9%
EpiEndo Pharmaceuticals9%530.561.5%
Vitara Biomedical11%520.551.5%
Buzzard Pharmaceuticals15%330.351.0%
Egetis Therapeutics1%290.300.8%
Amarna Therapeutics58%110.110.3%
Strike Pharma18%110.110.3%
Total 2,22523.4064.2%





Commercial Growth    
Symcel30%2042.155.9%
NorthX Biologics61%2022.125.8%
Chromafora28%1371.454.0%
Nanologica50%1041.093.0%
Frontier Biosolutions2%260.270.7%
Bohus Biotech45%00.000.0%
Total 6737.0819.4%





Assets related to Portfolio companies 2112.226.1%
Other assets and liabilities 3563.7410.3%
     
Net Asset Value 3,46636.44100.0% 
  

 


* Following the bonus issue of 11,888,785 shares conducted in May, which will be followed by a cancellation of 8,412,578 shares to be approved in June, the return for the month is calculated on total NAV instead of as previously NAV per share.

Datum 2026-06-02, kl 08:00
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