Investor’s listed portfolio of high quality assets benefited from the market rebound that has carried on since the end of March. Its NAV has increased accordingly, regaining all the lost ground from the COVID-19-led market slump. While the holding’s unlisted subsidiaries felt the pinch of the sanitary and economic crisis, Investor’s diversified asset base and broad sector exposure should allow it to ride the post-COVID recovery wave in H2.
20 Jul 2020
Q2 market rebound lifts NAV above the 2019 levels
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Q2 market rebound lifts NAV above the 2019 levels
Investor AB Class B (IVSD:ETR) | 0 0 0.7% | Mkt Cap: 277,958m
- Published:
20 Jul 2020 -
Author:
Jorge Velandia -
Pages:
3
Investor’s listed portfolio of high quality assets benefited from the market rebound that has carried on since the end of March. Its NAV has increased accordingly, regaining all the lost ground from the COVID-19-led market slump. While the holding’s unlisted subsidiaries felt the pinch of the sanitary and economic crisis, Investor’s diversified asset base and broad sector exposure should allow it to ride the post-COVID recovery wave in H2.