“QWI Investments Ltd (QWI) Net Asset Value for October 15, 2019

Posted: October 18, 2019 at 9:12 am

“QWI Investments Ltd announces that its unaudited estimated Net Asset Value (NAV) per share as at Oct 15, 2019 was $1.34 per share, which represents a decline of 1.5% since September 30, 2019.”

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