NAV updates | July 3, 2020
Cryptology begins reporting monthly NAV estimate, starting June 30th, 2020
As of June 30th, 2020, Cryptology Asset Group’s Net Asset Value (NAV) is estimated at €80.14/share. In the NAV, all of Cryptology’s portfolio companies are either valued at cost or, if there has been a more recent financing round/valuation event involving 3rd-party investors, then we have taken this more recent valuation. Stock-market-listed portfolio companies have been valued according to their market price. Note that some portfolio companies may not have had a 3rd-party valuation for some time. We prepare our figures in accordance with IFRS standards.