Skip to content
NPORT

HarbourVest Private Investments Fund NAV Reaches $571.89M in 4Q25

HarbourVest Private Investments Fund's net asset value climbed 7.4% to $571.89M in Q4 2025 from $532.51M in Q3, reflecting $39.38M in quarterly appreciation across the fund's holdings.

More updates for HarbourVest Private Investments Fund