NAV 3

€ million 12/31/2018 12/31/2018
Issued capital and reserves attributable to owners of the parent 12,210 10,805
Difference between the market value and the book value of the investments 4,861 8,171
Treasury stock and others 167 179
Net Asset Value (NAV) 17,238 19,155
Commercial Register No.64236277 Legal notes | Credits