Sound Point Meridian Capital Inc. has reported an estimated net asset value $(NAV)$ as of June 30, 2025. The NAV is calculated based on the value of the company's portfolio, cash or cash equivalents, and other assets, less liabilities. It is important to note that this NAV is unaudited and subject to revision, as the company determines its NAV monthly. Investors are advised to consider the high degree of risk involved in investing with SPMC, including the potential for little or no return on investment or a total loss. Shares of the company, listed on the New York Stock Exchange, may trade at a discount from their NAV, adding to the risk profile.
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