Nippon Active Value Fund plc (NAVF.L) Research

Nippon Active Value Fund Plc functions as a closed-ended investment vehicle. Its primary objective is to assemble a highly focused collection of equity holdings, predominantly in businesses with significant operations within Japan or whose revenue streams are largely tied to the Japanese market. The fund was established on October 22, 2019, and its central office is situated in London, United Kingdom.

Market snapshot

Symbol
NAVF.L
Price
$230
Day change
+0.88%
Market cap
$451.7M
P/E ratio
6.76x
52-week range
194.063-252
Sector
Financial Services
Industry
Asset Management
Next earnings
in 3 months

Peer companies

  • Crystal Amber Fund Limited (CRS.L)
  • Foresight Solar Fund Limited (FSFL.L)
  • Gresham House Energy Storage Fund plc (GRID.L)
  • India Capital Growth Fund Limited (IGC.L)
  • CQS New City High Yield Fund Limited (NCYF.L)
  • NextEnergy Solar Fund Limited (NESF.L)
  • Oryx International Growth Fund Limited (OIG.L)
  • Schroder Income Growth Fund plc (SCF.L)

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