Trinity Capital Q2 2026 NAV per share rises to $13.47 from $13.27
TRIN•Q2 net asset value increases
- Trinity Lane Capital reported net asset value of $1.3 billion, or $13.47 a share, at June 30, 2026.
- NAV per share rose from $13.27 at March 31, 2026.
- Total net assets increased 8.6% to $1.3 billion.




