QWI Investments Ltd (QWI) – Net Asset Value as at October 21, 2019
“QWI Investments Ltd (QWI) has advised that its unaudited estimated Net Asset Value (NAV) per share as at October 21, 2019 was $1.35 per share.”
“QWI Investments Ltd (QWI) has advised that its unaudited estimated Net Asset Value (NAV) per share as at October 21, 2019 was $1.35 per share.”
JMMBGL has advised that further to their Annual General Meeting held on September 19, 2018, the shareholders of JMMBGL passed a special resolution approving the delisting of the JMMBGL shares from
Fontana Limited (FTNA) has advised that the payment of a dividend will be considered at a special Board of Directors’ meeting to be held on Tuesday, October 29, 2019.
Mayberry Jamaican Equities (MJE) Net Asset Value for October 16, 2019 is $15.41.
Mayberry Jamaican Equities (MJE) Net Asset Value for October 18, 2019 is $15.12.
Mayberry Jamaican Equities (MJE) Net Asset Value for October 17, 2019 is $15.05.
JSE Bond Tradesheet – October 22, 2019
BSE Trading Report October 22, 2019 BSE Share Summary October 22, 2019
JSE’s Monthly Regulatory Report – August 2019 (revised)
QWI Investments Limited (QWI) has advised that its unaudited estimated net asset value (NAV) per share as at October 15, 2019 was $1.34 per share, which represents a decline of