AI assistant
Sending…
Interfund Investments PLC — Net Asset Value 2014
Dec 17, 2014
2469_rns_2014-12-17_63a7ad58-d3e0-45ee-9d26-573f65028cf6.pdf
Net Asset Value
Open in viewerOpens in your device viewer
ANNOUNCEMENT
The Net Asset Value of Interfund Investments Plc was as at 15 December 2014 $€0.1675$ per share.
MAIL: P.O.BOX 50307, 3603 LEMESOS E-MAIL: [email protected]
More from Interfund Investments PLC
Regulatory Filings
2026
Apr 29
Regulatory Filings
2026
Apr 24
Regulatory Filings
2026
Apr 20
Report Publication Announcement
2026
Apr 17
Net Asset Value
2026
Apr 15
Net Asset Value
2026
Apr 7
Share Issue/Capital Change
2026
Jan 13
Net Asset Value
2026
Jan 13
Net Asset Value
2026
Jan 7
Net Asset Value
2025
Dec 30