Flerie AB NAV for 31 August 2026: SEK 3,342m
Flerie AB reported Net Asset Value of SEK 3,342 million as of 31 August 2026, with NAV per share at SEK 38.54. Return on NAV per share over the month was -1.8%.
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Flerie AB reported Net Asset Value of SEK 3,342 million as of 31 August 2026, with NAV per share at SEK 38.54. Return on NAV per share over the month was -1.8%.