Search
Close this search box.

QWI

QWI Investments Limited (QWI) – Net Asset Value

QWI Investments Limited (QWI) has advised that its unaudited estimated net asset value (NAV) per share as at October 15, 2019  was $1.34 per share, which represents a decline of

QWI Investments Limited (QWI) – Net Asset Value

“QWI Investments Limited (QWI) has advised that the Company’s unaudited Net Asset Value (NAV ) per share as at September 30, 2019 is $1.36 per share.  QWI further advised that this NAV is

QWI Investments Limited – Basis of Allocation

NCB Capital Markets Limited has provided the information regarding the Basis of Allocation for the QWI Investment Limited Initial Public Offer. The Methodology for allotment of Ordinary Shares: Reserve Share