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Peugeot Invest: NAV per share down in H1

(CercleFinance.com) - Peugeot Invest has reported a Net Asset Value (NAV) per share of 192 euros at 30 June 2022, compared with 235 euros at 31 December 2021, representing a dividend performance of -17.
2% for H1 2022.

The portfolio's diversification offset some of the decline in the prices of automotive stocks, with most of the companies in the portfolio having demonstrated a solid operational performance in worse economic conditions.

Net income, group share, contracted to 191.7 million euros over the period, compared with a profit of 368.3 million euros in H1 2021, which included extraordinary income of 173 million euros from the distribution of Faurecia shares by Stellantis.




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