PROVENTUS CAPITAL ANNOUNCES NAV OF PROVENTUS CAPITAL PARTNERS IV B
Stockholm, 15 April 2020 Proventus Capital today announces that, at the close of business on 31 March 2020, the Net Asset Value per participation loan debentures of Proventus Capital Partners IV B, is EUR 101.53 for series A1 and EUR 1,024.34 for series B. For the first quarter no Ordinary Income will be distributed for series A1 debentures and EUR 5.3 will be distributed per series B debenture as Ordinary Income on 23 April 2020. No partial repayment will be distributed to our debenture holders for the first quarter. Proventus Capital Partners IV B’s assets are composed of 86 per