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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 lower than the $1.52 per share as at 31 July 2019 and the NAV per share of $1.38 projected for September 30, 2019 contained in its prospectus dated September 9, 2019, primarily as a result of the dilutive effects of their Share Offer on September 16, 2019 and the subsequent upsizing of the Offer to 900 million shares.