Nordic Factoring Fund AB (publ) reports a NAV price for February of 100.80, an increase of 0.39 percentage points compared to the previous month.Investment in Finserve…
Nordic Factoring Fund AB (publ) reports a NAV price for January of 100.41, an increase of 0.41 percentage points compared to the previous month. The fund has…
Nordic Factoring Fund AB (publ) reports a NAV rate for December of 105.87, an increase of 0.45 percentage points compared to the previous month. This year's yield…
Nordic Factoring Fund AB (publ) reports a NAV rate for November of 105.40, an increase of 0.42 percentage points compared to the previous month. This year's yield…
Nordic Factoring Fund AB (publ) reports a NAV rate for October of 104.96, an increase of 0.50 percentage points compared to the previous month. This year's yield…
Nordic Factoring Fund AB (publ) reports a NAV rate for September of 104.44, an increase of 0.46 percent compared to the previous month. The fund has an accumulated…
Nordic Factoring Fund AB (publ) reports a NAV rate for August of 103.96, an increase of 0.45 % compared to the previous month. Investment in Finserve…
Nordic Factoring Fund AB (publ) reports a NAV rate for July of 103.49, an increase of 0.53 % from the previous month. Investment in Finserve…
Nordic Factoring Fund AB (publ) reports a NAV price for June of 102.94, an increase of 0.44 % from the previous month. During the month,…