The company under the corporate name “ALPHA TRUST – ANDROMEDA Investment Trust S.A.”, in accordance with Decision 4/278/12.8.2003 of the Board of Directors of the Hellenic Capital Market Commission, announces the Net Asset Value (NAV) of its share as of December 10, 2024, as well as the premium/discount in relation to its stock market value, as follows:
SHARE INFORMATION AS AT 10.12.2024 | EUR |
NAV per share | 8.39 |
Stock price | 6.40 |
Premium/Discount | -23.76% |