Paris, 7 September 2022 - Net Asset Value per share stood at €35.64 as of 30 June 2022, following distribution of a dividend of €1.13 per share in May 2022. NAV is down 2.7% vs 31 December 2021, dividend
Paris, 11 May 2022 - Altamir's Net Asset Value per share was €36.85 as of 31 March 2022, down 2.5% from 31 December 2021 (€37.81).
We remind investors that as of 31 March and 30 September Altamir
Paris, 27 April 2022 - Altamir's combined General Shareholders' meeting was held on 26 April 2022. The shareholders represented at the meeting held in aggregate 84.36% of the outstanding shares. All
Paris, 19 April 2022 - Altamir's 2021 Registration Document was filed with the French Financial Markets Authority (AMF) on 19 April 2022. The following documents are included in the Registration
Paris, 5 April 2022 - The Company's shareholders are invited to participate in the Combined Annual General Meeting (AGM), which will be held on Tuesday 26 April 2022, at 10:00 am, at Altamir's offices: