Rubico estimates June 30 NAV at $183.1 million, up 94% from March estimate
RUBI•June 30 NAV estimate rises to $183.1 million
Rubico estimated net asset value at $183.1 million as of June 30, 2026, up 94% from the NAV reported March 2, 2026.
Management’s estimate implies NAV of $300.26 per common share based on current shares outstanding.
Fully diluted NAV was estimated at $72.22 per common share, assuming exercise of 669,193 warrants and conversion of Series G Convertible Preferred Shares.




