Fountain Asset Corp. FA
Updated: 13 Jun 2026
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Recent News
On May 28, 2026, the company reported its Q1 2026 financial results, showing a net asset value (NAV) of $6.65 million, or $0.10 per share. While the company achieved $1.55 million in realized gains from portfolio sales, it recorded a net comprehensive loss of $0.82 million due to unrealized investment losses. Management highlighted a continued focus on maintaining low operating expenses to strengthen the financial position.
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Want to follow Fountain Asset Corp.? Create a free account — 3 companies, change history, weekly brief, and email when the picture changes.
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