
Exor N.V. Reports Strong H1 2025 Performance

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Exor N.V. reported a strong performance in H1 2025, with a 1% increase in NAV per share, outperforming the MSCI World Index by five percentage points. The company executed a €1 billion share buyback and reduced its Ferrari stake, despite a 5.8% decrease in gross asset value to €40 billion. Exor maintained a low loan-to-value ratio of 5.5% and reported €4.1 billion in cash inflows. The company increased its stake in Philips to 19% and supported Tata Motors’ acquisition of Iveco Group, while celebrating the IPO of its transit tech investment, Via.
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