Måndag 15 Juni | 14:52:48 Europe / Stockholm
2026-04-02 08:00:00

On the 31 March 2026 Flerie AB's Net Asset Value (NAV) was SEK 3,670 million and NAV per share was SEK 41.90. Return on NAV per share in the month was -1.09%.

Allocation of NAVShare of portfolio companyFair value (MSEK)Part of NAV per share (SEK)Share of NAV
Product Development    
Lipum100%3483.979.5%
Prokarium50%2813.217.7%
Xspray Pharma18%2252.576.1%
Empros Pharma79%2042.335.6%
KAHR Medical34%2042.335.6%
Atrogi44%1972.255.4%
Bonsai Biotherapeutics100%1581.804.3%
Xintela60%1281.463.5%
Microbiotica10%1261.443.4%
AnaCardio13%790.912.2%
Geneos Therapeutics12%680.781.9%
Mendus23%620.701.7%
EpiEndo Pharmaceuticals9%540.621.5%
Vitara Biomedical11%540.611.5%
Buzzard Pharmaceuticals14%320.360.9%
Egetis Therapeutics1%270.310.7%
Amarna Therapeutics58%110.130.3%
Strike Pharma18%110.120.3%
Alder Therapeutics30%00.000.0%
Total 2,26925.9061.8%





Commercial Growth    
Symcel30%2042.335.6%
NorthX Biologics61%2022.305.5%
Chromafora28%1371.573.7%
Nanologica50%590.681.6%
Frontier Biosolutions2%260.300.7%
Bohus Biotech45%00.000.0%
Total 6307.1917.2%





Assets related to Portfolio companies 1832.085.0%
Other assets and liabilities 5896.7316.1%
     
Net Asset Value 3,67041.90100.0%