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NET ASSET VALUE – 31 January 2026

On the 31 January 2026 Flerie AB's Net Asset Value (NAV) was SEK 3,285 million and NAV per share was SEK 42.41. Return on NAV per share in the month was -2.73%.

Allocation of NAV Share of portfolio company Fair value (MSEK) Part of NAV per share (SEK) Share of NAV
Product Development        
Prokarium 50% 271 3.50 8.3%
Empros Pharma 79% 204 2.64 6.2%
Atrogi 44% 197 2.54 6.0%
KAHR Medical 34% 190 2.45 5.8%
Xspray Pharma 18% 180 2.33 5.5%
Bonsai Biotherapeutics 100% 153 1.97 4.6%
Xintela 60% 151 1.94 4.6%
Lipum 42% 143 1.85 4.4%
Microbiotica 10% 121 1.57 3.7%
AnaCardio 13% 79 1.02 2.4%
Mendus 23% 74 0.95 2.2%
Geneos Therapeutics 15% 63 0.81 1.9%
EpiEndo Pharmaceuticals 9% 52 0.67 1.6%
Vitara Biomedical 11% 50 0.64 1.5%
Buzzard Pharmaceuticals 14% 32 0.41 1.0%
Egetis Therapeutics 1% 25 0.33 0.8%
Amarna Therapeutics 58% 11 0.14 0.3%
Strike Pharma 18% 11 0.14 0.3%
Alder Therapeutics 30% 0 0.00 0.0%
Total   2,006 25.90 61.1%
Commercial Growth        
NorthX Biologics 61% 202 2.61 6.1%
Symcel 30% 192 2.48 5.8%
Chromafora 28% 131 1.69 4.0%
Frontier Biosolutions 2% 25 0.33 0.8%
Nanologica 44% 15 0.20 0.5%
Bohus Biotech 45% 0 0.00 0.0%
Total   566 7.30 17.2%
Assets related to Portfolio companies   225 2.91 6.9%
Other assets and liabilities   487 6.29 14.8%
         
Net Asset Value   3,285 42.41 100.0%