Q3 RomReal Limited Third Quarter 2021 Report 26 November 2021 Highlights Third Quarter 2021 Net Asset Value (NAV) Net Asset value was EUR 0.39 (NOK 4.10, before any
Q3 RomReal Limited Third Quarter 2021 Report 26 November 2021 Highlights Third Quarter 2021 Net Asset Value Net Asset value was EUR 0.39 per share, about 6.1% higher compared to the end of. | November 26, 2021