Eppley Caribbean Property Fund Limited SCC (CPFV) – Value Fund Net Asset Value (NAV) April 5, 2024
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at April 5, 2024, is BBD$0.87.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at April 5, 2024, is BBD$0.87.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at March 28, 2024, is BBD$0.87.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at March 22, 2024, is BBD$0.87.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at March 15, 2024, is BBD$0.87.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at March 8, 2024, is BBD$0.87.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at March 1, 2024, is BBD$0.87.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at February 23, 2024, is BBD$0.87.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at February 16, 2024, is BBD$0.87.
Eppley Caribbean Property Fund Limited SCC- Value Fund (CPFV) has advised that at a meeting of their Board of Directors held on February 13, 2024, an ordinary dividend of 0.25