Mayberry Jamaican Equities Limited (MJE) – Daily Net Asset Value (NAV) For January 25, 2024
The NAV for January 25, 2024 is J$13.56
The NAV for January 25, 2024 is J$13.56
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at February 2, 2024, is BBD$0.88.
QWI INVESTMENTS LIMITED (QWI) announces that at the close of business on 2 February 2024, the Net Asset Value of QWI’s shares was $1.23 per share.
The NAV for January 19, 2024 is J$13.34 The NAV for January 22, 2024 is J$13.44
The NAV for January 15, 2024 is J$13.46 The NAV for January 16, 2024 is J$13.28 The NAV for January 17, 2024 is J$13.45 The NAV for January 18, 2024
The NAV for January 11, 2024 is J$13.75 The NAV for January 12, 2024 is J$13.93
The NAV for January 8, 2024 is J$13.69 The NAV for January 9, 2024 is J$13.92 The NAV for January 10, 2024 is J$13.90
The NAV for January 2, 2024 is J$13.51 The NAV for January 3, 2024 is J$13.86 The NAV for January 4, 2024 is J$13.28 The NAV for January 5, 2024
The NAV for December 28, 2023 is J$14.45 The NAV for December 29, 2023 is J$14.40
QWI INVESTMENTS LIMITED (QWI) announces that at the close of business on 26 January 2024, the Net Asset Value of QWI’s shares was $1.21 per share.