Net Asset Value 2011

NAV  of €74.3 as of  December 31, 2011 

 


NAV = €76.6 at November 22, 2011

 

 

 


 

Net Asset Value at 31 August 2011: €75,0 per share

Net Asset Value: €75 per share, impacted by the sudden drop in financial markets



Net Asset Value at 14 March 2011: €98,2 per share

Wendel’s net asset value stood at €98.20 per share at 14 March 2011, an 86% increase on the €52.9 of 31 December 2009.
The discount to NAV was 26% at 14 March 2011.

The calculation methodology was detailed on 31 August 2009 and remains unchanged. Moreover it conforms to the recommendations of European Venture Capital Association.