Sagicor Select Funds Limited (SELECT) – Unaudited Net Asset Value, August 29, 2024
Sagicor Select Funds Limited (SELECT) has advised that its unaudited Net Asset Value (NAV) as of August 29, 2024, for:
Sagicor Select Funds Limited (SELECT) has advised that its unaudited Net Asset Value (NAV) as of August 29, 2024, for:
The NAV for August 2, 2024 is J$12.63 The NAV for August 5, 2024 is J$12.59 The NAV for August 7, 2024 is J$12.07 The NAV for August 8, 2024 is J$12.12 The NAV for August 9, 2024 is J$12.16 The NAV for August 12, 2024 is J$12.25 The NAV
Wisynco Group Limited (Wisynco) is pleased to disclose its audited financial statement for the financial year ended June 30, 2024 along with management’s report to stockholders.