
July 29 (Reuters) - Tetragon Financial Group Ltd TFG.AS:
TETRAGON FINANCIAL GROUP NET ASSET VALUE AT JUNE 30: USD 3.5 BILLION
TETRAGON FINANCIAL GROUP NAV PER SHARE: USD 38.74
TETRAGON FINANCIAL GROUP H1 RETURN ON EQUITY 12.2%
TETRAGON FINANCIAL GROUP NET CASH AT JUNE 30TH: USD -546.0 MILLION
TETRAGON FINANCIAL GROUP CASH BALANCE WAS USD 3.0 MILLION AS OF 30 JUNE 2025