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Pantheon Infrastructure (PINT) Net Asset Value marginally up for Q1

The company’s NAV total return in the quarter was 1.31%, with the NAV increasing by 0.3 pence per share in the quarter.

By TTC Newsroom

8 Mins

June 21, 2023 | 10:31 PM BST

Pantheon Infrastructure PLC (“PINT” or the "Company"), the listed global infrastructure fund, announces that its Net Asset Value (“NAV”) as at 31 March 2023 was 99.2 pence per share.

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