LPX Composite NAV
The LPX Composite NAV reflects the fundamental value creation of global Listed Private Equity companies based on the NAV development. The index is based on a standardised NAV model, which was introduced in order to ensure transparency and comparability. The LPX Composite NAV allows direct comparison with tradition private equity investments via limited partnerships. The reference currency of the LPX Composite NAV is EUR following a Total Return (Gross) reinvestment scheme. The index is distributed to a broad array of data vendors. The index is diversified across regions, private equity investment styles, financing styles and vintages.
|Name:||LPX Composite NAV|
|Level (January 15, 2019):||288.36 (+0.32%)|