Fund Net Asset Value and Current Conversion Ratio

Weekly NAV as of 10/9/2026
Name Ticker NAV
Special Opportunities Fund Inc. SPE $15.03
Weekly Diluted NAV as of 10/9/2026
Name Ticker NAV
Special Opportunities Fund Inc. SPE $14.93
Current Conversion Ratio
1.7719
Page last updated Sept. 25, 2026