NAV
CSAV
We Estimate our Net Asset Value (NAV) as follows:
1
 The weighted
market value of Hapag-Lloyd
Corporate
Level
Cash
Corporate
Level Deferred
Tax Assets
Corporate
Level
Debt
CSAV
NAV

We update the NAV (Net Asset Value) monthly according to the latest Financial Statements

CSAV’s NAV
1
NAV AT THE END OF JULY 2021: US$11.478 MILLION
AUGUST: 13,113

Note: NAV in millions of us dollars translated from Chilean pesos or Euros at the exchange rate corresponding to each date last price.

CSAV’s MKT. CAP
1
Mkt. Cap. at the end of July 2021: US$4.289 MILLION
AUGUST: 3,679

 

Note: Market Capitalization in millions of us dollars translated from Chilean pesos at the exchange rate corresponding to each date last price