PROVENTUS ANNOUNCES NAV OF PROVENTUS CAPITAL PARTNERS III
The information provided herein is such that Proventus Capital Partners III AB (publ) is obligated to disclose pursuant to the Securities Markets Act (SFS 2007:528) and/or the The Financial Instruments Trading Act (SFS 1991:980). The information was submitted for publication at 12.30 p.m. on 7 July 2017.Press release Stockholm, 7 July 2017 Proventus today announces that, at the close of business on 30 June 2017, the Net Asset Value per participation loan debentures of Proventus Capital Partners III, is SEK 870,109 for series A and SEK 21,930,245 for series B. SEK 1,848 per series A