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Q2 will likely be negatively affected by market turbulence weighing on Garantia's investment operations, given high exposure to fixed-income products. However, the underlying development most likely remained favourable for both Garantia and private asset management. Q2 earnings will be supported by Ficolo earn-outs, while the focus should be on any new information about the new flagship SolarWind III fund. Taaleri's first bioindustry fund achieved its first closing in Q2 at a targeted EUR 80m and fundraising has continued. We derive a fair value range of EUR 11.0-12.5 (11.7-13.7) per Taaleri share.

Marketing material commissioned by Taaleri.

Source: Finwire News.

Taaleri is a Nordic investment and asset manager with an emphasis on renewable energy and other alternative investments. Taaleri has two business segments: Private Asset Management and Strategic Investments. Private Asset Management consists of renewable energy, real estate and bioindustry businesses. The Strategic Investments segment includes Garantia Insurance Company Ltd.

Taaleri has EUR 2.5 bn of assets under management in its private equity funds and co-investments. The company has approximately 120 employees. Taaleri Plc is listed on Nasdaq Helsinki.