Mayberry Jamaican Equities Limited (MJE) – Daily Net Asset Value (NAV) For February 20-21, 2024
The NAV for February 20, 2024 is J$14.37 The NAV for February 21, 2024 is J$14.42
The NAV for February 20, 2024 is J$14.37 The NAV for February 21, 2024 is J$14.42
The NAV for February 16, 2024 is J$14.48
The NAV for February 15, 2024 is J$14.32
The NAV for February 16, 2024 is J$14.45
QWI INVESTMENTS LIMITED (QWI) announces that at the close of business on 16 February 2024, the Net Asset Value of QWI’s shares was $1.28 per share.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at February 16, 2024, is BBD$0.87.
The NAV for February 12, 2024 is J$13.58 The NAV for February 13, 2024 is J$14.34
The NAV for February 5, 2024 is J$13.56 The NAV for February 6, 2024 is J$13.56 The NAV for February 7, 2024 is J$13.91
The NAV for February 8, 2024 is J$13.85 The NAV for February 9, 2024 is J$14.06
The NAV for January 30, 2024 is J$13.54 The NAV for January 31, 2024 is J$13.96 The NAV for February 1, 2024 is J$13.58 The NAV for February 2, 2024