B Treasury Capital NAV per B share stands at SEK 168.65 as of 17:30 CEST Sept. 25, 2026
B Treasury Capital set net asset value per Class B share at SEK 168.65, based on holdings valued at 17:30 CEST. NAV per share is used to price a voluntary redemption at SEK 121.43, a 28% discount to NAV. Cash-funded redemption of 38,861 B shares totals SEK 4.72 million, lifting NAV per B share to SEK 171.10 at unchange