Net Asset Value • Jan 31, 2019
Net Asset Value
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National Storage Mechanism | Additional information
RNS Number : 7153O
Golden Prospect Precious Metals Ltd
31 January 2019
| GOLDEN PROSPECT PRECIOUS METALS LIMITED | |||||||||||
| Date of Announcement: | 31/01/2019 | ||||||||||
| Net Asset Value per share as at: | 30/01/2019 | ||||||||||
| The unaudited net asset value (NAV) of the company is noted below in pence per share. | |||||||||||
| Pence per share | |||||||||||
| Golden Prospect Precious Metals Limited | 26.10 | ||||||||||
| ---------------------------------------------------------------------------------------------------------------------- Net asset value as at 30.01.2019 of Golden Prospect Precious Metals Ltd (TIDM: GPM): NAV-bid: 26.10 GBP ---------------------------------------------------------------------------------------------------------------------- Net asset value as at 30.01.2019 of Golden Prospect Precious Metals Ltd subscription shares of no par value (TIDM: GPMs): NAV-bid: 26.10 GBP ---------------------------------------------------------------------------------------------------------------------- |
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