QWI INVESTMENTS LIMITED (QWI) – ANNOUNCEMENT RE NET ASSET VALUE OF SHARES
QWI INVESTMENTS LIMITED (QWI) announces that at the close of business on 22 December 2023, the Net Asset Value of QWI’s shares was $1.25 per share.
QWI INVESTMENTS LIMITED (QWI) announces that at the close of business on 22 December 2023, the Net Asset Value of QWI’s shares was $1.25 per share.
The NAV for December 21, 2023 is J$13.90
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at December 22, 2023, is BBD$0.88.
The NAV for December 20, 2023 is J$13.84
The NAV for December 15, 2023 is J$13.57 The NAV for December 18, 2023 is J$13.75
QWI INVESTMENTS LIMITED (QWI) announces that at the close of business on 15 December 2023, the Net Asset Value of QWI’s shares was $1.24 per share.
The NAV for December 13, 2023 is J$13.19
The NAV for December 14, 2023 is J$13.27
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at December 15, 2023, is BBD$0.88.
The NAV for December 12, 2023 is J$13.33