Eppley Caribbean Property Fund Limited SCC (CPFV) – Value Fund Net Asset Value (NAV) October 13, 2023
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at October 13, 2023, is BBD$0.80.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at October 13, 2023, is BBD$0.80.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that the following CPFV shares were purchased between September 29, 2023- October 2, 2023 under the Company’s Value Fund – Share
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at October 6, 2023, is BBD$0.80.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at September 29, 2023, is BBD$0.80.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at September 22, 2023, is BBD$0.80.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at September 15, 2023, is BBD$0.80.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at September 8, 2023, is BBD$0.80.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at September 1, 2023, is BBD$0.80.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at August 25, 2023, is BBD$0.80.