August 3, 2017 / 5:00 PM / in 18 days

BRIEF-Canadian General Investments' NAV/share was $29.33​ at July 31 on unaudited basis

Aug 3 (Reuters) - Canadian General Investments Ltd:

* Reports on an unaudited basis that its net asset value per share (NAV) at July 31, 2017 was $29.33​ Source text for Eikon: Further company coverage:

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