More Mti Investment Ab news Mti Investment AbOMXSTO: MTI MTI Investment Reports NAV Per Share Of SEK 2.44 As Of March 31 May 18, 2026 at 7:18 AM UTC · Issued by MTI Investment AB As issuedPlain English MTI Investment AB (publ) OMXSTO:MTI:NET ASSET VALUE (NAV) PER SHARE AMOUNTED TO SEK 2.44 AS OF MARCH 31, 2026 Earlier from Mti Investment AbMTI Investment Board Proposes No DividendMar 26MTI Investment Q3 Net Asset Value Estimated At SEK 2.46 Per ShareNov 20, 2025MTI Investment Gets $624,000 Grant Project From NorecNov 17, 2025MTI: Revenue up 759% YoY, net loss narrowed, and NAV per share rose 7% to SEK 2.31Aug 28, 2025All Mti Investment Ab news releases↗