March 2, 2017 / 3:33 PM / 5 months ago

BRIEF-Interfund Investment NAV at 0.1702 euro per share

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March 2 (Reuters) - Interfund Investments Plc:

* Reports net asset value (NAV) as of Feb. 28 at 0.1702 euro ($0.1790) per share

Source text: bit.ly/2lx1KiW

Further company coverage: ($1 = 0.9507 euros) (Gdynia Newsroom)

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