1 Min Read
March 21 (Reuters) - EUROCASTLE INVESTMENT LTD:
* AT DEC 31 ADJUSTED NET ASSET VALUE (“ADJUSTED NAV”) OF EUR 556.5 MILLION, OR EUR 10.56 PER SHARE Source text for Eikon: Further company coverage: (Gdynia Newsroom)
All quotes delayed a minimum of 15 minutes. See here for a complete list of exchanges and delays.
© 2018 Reuters. All Rights Reserved.