Pantheon International making progress with Step Three of its strategy Pantheon International PLCs (LSE:PIN) net asset value (NAV) per share grew 2.3% in the six months to 30 November 2024,…
Pantheon International notes January rise in NAV per share Pantheon Resources PLC (AIM:PANR, OTCQX:PTHRF), in its monthly report, stated its net asset value (NAV) per share at 509.3p at…
Pantheon International net asset value rises in December Pantheon International PLCs (LSE:PIN) net asset value rose by 0.5% or 2.6p to 506.2p at the end of December 2024, with…
Pantheon International monthly report shows NAV improved Investment company Pantheon International PLC (LSE:PIN) has reported its monthly performance update, showing a 2.2% increase in net asset value…
Pantheon International increases net asset value in October Pantheon International PLC (LSE:PIN) increased its net asset value (NAV) by 3.1% in October, bringing per-share NAV to 490.8p. The…
Pantheon International makes £27.7 million of new investments Pantheon International PLC (LSE:PIN) saw gains in valuation and from its ongoing share buyback last month, but its net asset value…
Pantheon International continues share buyback as portfolio churns out cash Pantheon International PLC (LSE:PIN) continued its share buyback during August and made one new direct investment as it portfolio generated…
Pantheon International confirms robust cash flow in July, and continued buybacks Pantheon International PLC (LSE:PIN) has confirmed, in its monthly performance report, that its unaudited net asset value (NAV) per share…
Pantheon International reports strong buyback-supported NAV growth Pantheon International PLC (LSE:PIN), the FTSE 250 investment trust, saw a 6.1% increase in net asset value per share and…
Pantheon International increases net asset value in June Pantheon International PLC (LSE:PIN) has announced its unaudited net asset value (NAV) per share of 491.4p as of June 30,…
Pantheon International increases NAV and share buyback Pantheon International PLC (PIP) reported an increase in net asset value (NAV) up 6.1% year-on-year as it made five new investment commitments during…
Pantheon International declares new capital allocation policy Pantheon International PLC (LSE:PIN) (PIP) has detailed its new Capital Allocation Policy, which will be implemented from the first of…
Pantheon International: February saw NAV gains and share buybacks Pantheon International PLC (LSE:PIN) today disclosed its monthly performance review and NAV, for the month of February. The investment trust reported…