Eppley Caribbean Property Fund Limited SCC (CPFV) – Value Fund Net Asset Value (NAV) March 22, 2024
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 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 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 (CPFV) has advised that its Net Asset Value (NAV) as at February 9, 2024, is BBD$0.88.
As per the JSE Main Market Rule 410, we write to notify you that the Board of Directors of Eppley Caribbean Property Fund Limited SCC – Value Fund will meet
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at February 2, 2024, is BBD$0.88.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at January 26, 2024, is BBD$0.88.
Eppley Caribbean Property Fund Limited SCC (CPFV) has advised that its Net Asset Value (NAV) as at January 19, 2024, is BBD$0.88.