Ress Life Investments A/S announced its Net Asset Value (NAV) per share as of January 31, 2025, at $2,594.43, reflecting a -0.03% performance for the month and year-to-date. The company’s total assets under management stand at $284.6 million. The NAV in euros is published daily based on the USD reference rate from the European Central Bank. Contact for further inquiries is available through Gustaf Hagerud at Resscapital AB. Investors can find more information regarding share subscriptions and redemption in the company’s official documents on its website.