Net Asset Value (NAV) improves by 8.5% to EUR 43.5 million (balance sheet date 2019: EUR 40.1 million) NAV per share at EUR 6.33 as of 30 June 2020 Accelerated demand for digital business models Munich, 24 September 2020 – Mountain Alliance AG (ISIN DE000A12UK08) today publishes its half-year report 2020 as well as the Net Asset Value as […]