Rubico Inc. (RUBI) Form 6-K — Jul 16, 2026
Rubico Inc. announced a management estimate of Net Asset Value of $183.1 million as of June 30, 2026, representing a 94% increase from the previous NAV reported on March 2, 2026. The updated valuation translates to a NAV of $300.26 per common share on a basic basis and $72.22 per share on a fully diluted basis.
Key figures
- Discount To Market
- 95%
- Nav Per Share Basic
- $300.26
- Nav Increase Percent
- 94%
- Outstanding Warrants
- 669193
- Estimated Net Asset Value
- $183.1 million
- Nav Per Share Fully Diluted
- $72.22
AI analysis
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