ANNOUNCEMENT OF THE NAV OF P CAPITAL PARTNERS IV
PRESS RELEASE Stockholm, 1 Aug 2022 Today the Net Asset Value of the P Capital Partners IV participation loan debentures is announced. At the close of business on 29 July 2022, the Net Asset Value amounted to EUR 97.57 per each of the series A1 participation loan debentures. The Net Asset Value of P Capital Partners IV participation loan debentures is to be calculated at the close of each quarter and in conjunction with a capital increase or decrease. The Net Asset Value has been set, as a result of P Capital Partners IV increasing its contributed capital by EUR 2.6 million,