Nordic Factoring Fund AB (publ) reports a NAV rate for May of 102.49, an increase of 0.47 % from the previous month. The fund's underlying return…
Nordic Factoring Fund AB (publ) reports a NAV price for April of 102.01, an increase of 0.54 % from the previous month. The fund's underlying yield is…
Nordic Factoring Fund AB (publ) reports a NAV price of 101.46 for March, which means an increase of 0.50 %The portfolio's underlying return is still...
Nordic Factoring fund AB (publ) reports a NAV rate for February of 100.96. That's an increase of 0.49 %. The portfolio's underlying return is…
Nordic Factoring fund AB (publ) reports a NAV rate for January of 100.47. That's an increase of 0.47 %. In January, the fund has…
Nordic Factoring fund AB (publ) reports a NAV rate for December of 105.63. That's an increase of 0.45 %. The portfolio's underlying return has…
Nordic Factoring fund AB (publ) reports a NAV rate for October of 104.65. That's up 0.50 %. The portfolio's underlying return has…
Nordic Factoring fund AB (publ) reports a NAV rate for September of 104.13. That's an increase of 0.55 %. The fund has under…
Nordic Factoring fund AB (publ) reports a NAV rate for August of 103.56. That's an increase of 0.51 %. During H1 2023…