Investor Presentation slide image

Investor Presentation

NET ASSET VALUE PER SHARE = €117.8 €34.7 NAV/share1 +14.0% p.a. incl. dividends +40% €85.4 incl. div 25 25 €117.8 Dec. 2011 Dec. 2012 Dec. 2013 Dec. 2014 Dec. 2015 Dec. 2016 Dec. 2017 Dec. 2018 Dec. 2019 Dec. 2020 Dec. 2021 EURAZEO 1. NAV per share is adjusted for bonus share allocation INVESTOR PRESENTATION
View entire presentation