C1 Fund Q2 NAV stands at USD 42.63 million, or USD 6.49 a share
CFND•Quarter-end net asset value
C1 Fund reported net asset value for the quarter ended June 30, 2026 of $42.63 million, or $6.49 a share.
CFND•C1 Fund reported net asset value for the quarter ended June 30, 2026 of $42.63 million, or $6.49 a share.
