Tern NAV per share slips to 0.9p at June 30 2026 from 1.0p at Dec 31 2025
Tern Plc reported net asset value per ordinary share of 0.9p at 30 June 2026, versus 1.0p at 31 December 2025.
Tern Plc reported net asset value per ordinary share of 0.9p at 30 June 2026, versus 1.0p at 31 December 2025.