Business
MTI Investment Reports NAV Per Share Of SEK 2.44 As Of March 31
MTI Investment Reports NAV Per Share Of SEK 2.44 As Of March 31

About this update from Mti Investment Ab
MTI Investment AB (publ) OMXSTO:MTI:NET ASSET VALUE (NAV) PER SHARE AMOUNTED TO SEK 2.44 AS OF MARCH 31, 2026