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BRIEF-Pershing Square Holdings releases regular weekly net asset value as of 21 March
March 22, 2017 / 8:33 PM / 8 months ago

BRIEF-Pershing Square Holdings releases regular weekly net asset value as of 21 March

March 22 (Reuters) - Pershing Square Holdings Ltd -

* Releases regular weekly net asset value as of 21 March 2017

* PSH NAV per share as of close of business on 21 March 2017 was USD 17.62 Source text for Eikon: Further company coverage:

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