April 24 (Reuters) - Oakley Capital Investments Ltd :
* TRADING UPDATE FOR THE 3 MONTHS ENDED 31 MARCH 24
* QTRLY NET ASSET VALUE PER SHARE OF 693 PENCE AND NAV OF £1,222 MILLION
Market Closed -
Other stock markets
|
5-day change | 1st Jan Change | ||
475.5 GBX | +0.21% | -0.21% | -3.74% |
Apr. 24 | Oakley confident in the long term as portfolio grows in first quarter | AN |
Apr. 24 | Oakley Capital Investments' Q1 NAV Rises | MT |
April 24 (Reuters) - Oakley Capital Investments Ltd :
* TRADING UPDATE FOR THE 3 MONTHS ENDED 31 MARCH 24
* QTRLY NET ASSET VALUE PER SHARE OF 693 PENCE AND NAV OF £1,222 MILLION
1st Jan change | Capi. | |
---|---|---|
-3.74% | 1.05B | |
+2.90% | 12.53B | |
+10.40% | 5.66B | |
-3.76% | 5.38B | |
+7.80% | 5.3B | |
+10.77% | 4.35B | |
+14.15% | 4.35B | |
+1.77% | 4.07B | |
+5.13% | 3.91B | |
-2.36% | 3.21B |