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Shareholder data based on the latest communications available
Details regarding DeA Capital’s share price, main stock and historical data.
The Net Asset Value (NAV) is the value of the balance sheet assets less the liabilities and it is equal to the value of the Net equity, calculated and published quarterly by DeA Capital, based on the international accounting principles (IFRS).
Details regarding DeA Capital’s share capital evolution.
Listing: FTSE Italia STAR, FTSE Italia AllShare, FTESE Italia Mid cap, MTAX
Isin Code: IT0001431805
Tickers: FTSE Italia STAR (DEA), Bloomberg (DEA IM), Reuters (DEA.MI)