Net Asset Value as at October 31, 2012

November 05, 2012   |   November 2012 Bond Updates
MONTREAL, Nov. 5, 2012 /CNW Telbec/ - Global Diversified Investment Grade Income Trust ("Global DIGIT") announces that the net asset value ("NAV") per unit as at October 31, 2012 was estimated to be $6.73. The NAV on a particular date is equal to the aggregate value of the...

View more at: http://www.prnewswire.com/news-releases/net-asset-value-as-at-october-31-2012-177332821.html
 
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