June 3, 2016 / 2:42 PM / a year ago

BRIEF-Canadian General Investments reports NAV per share at May 31 of $25 on unaudited basis

1 Min Read

June 3 (Reuters) - Canadian General Investments Ltd :

* Reports on an unaudited basis that its net asset value per share at May 31, 2016 was $25.00 Source text for Eikon: Further company coverage:

0 : 0
  • narrow-browser-and-phone
  • medium-browser-and-portrait-tablet
  • landscape-tablet
  • medium-wide-browser
  • wide-browser-and-larger
  • medium-browser-and-landscape-tablet
  • medium-wide-browser-and-larger
  • above-phone
  • portrait-tablet-and-above
  • above-portrait-tablet
  • landscape-tablet-and-above
  • landscape-tablet-and-medium-wide-browser
  • portrait-tablet-and-below
  • landscape-tablet-and-below