what we’ve discovered
Cryptology begins reporting monthly NAV estimate, starting June 30th, 2020
July 3, 2020




As of June 30th, 2020, Cryptology Asset Group’s Net Asset Value (NAV) is estimated at €80.29/share. In the NAV, all of Cryptology’s portfolio companies are either valued at cost or, if there has been a more recent financing round/valuation event involving 3rd-party investors, then we have taken this more recent valuation. Stock-market-listed portfolio companies have been valued according to their market price. Note that some portfolio companies may not have had a 3rd-party valuation for some time. We prepare our figures in accordance with IFRS standards.
Note: This article originally reported the NAV as €80.14. We later amended this to €80.29.