By Josh White
Date: Friday 24 May 2024
(Sharecast News) - Pantheon International announced an unaudited net asset value per share of 489.7p as of 30 April on Friday, reflecting a 0.3% increase from the prior month.
By Josh White
Date: Friday 26 Apr 2024
(Sharecast News) - Pantheon International reported a 0.9% month-on-month improvement in its unaudited net asset value per share in March on Friday, to 488.1p, as its total net asset value stood at £2.3bn.
By Josh White
Date: Friday 21 Apr 2023
(Sharecast News) - Pantheon International (PIP) reported an unaudited 31 March net asset value (NAV) of 456.6p per share in an update on Friday.
Currency | UK Pounds |
Share Price | 321.00p |
Change Today | -3.50p |
% Change | -1.08 % |
52 Week High | 334.00 |
52 Week Low | 245.50 |
Volume | 829,217 |
Shares Issued | 465.61m |
Market Cap | £1,494.62m |
RiskGrade | 101 |
Value |
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Price Trend |
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Income |
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Growth |
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No dividends found |
Time | Volume / Share Price |
16:37 | 269,702 @ 321.65p |
16:35 | 150,566 @ 321.00p |
16:35 | 1,167 @ 321.00p |
16:35 | 28,461 @ 321.00p |
16:35 | 952 @ 321.00p |
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