March 21, 2018 / 9:05 PM / a month ago

BRIEF-Pershing Square Releases Regular Weekly Net Asset Value

March 21 (Reuters) - Pershing Square Holdings Ltd:

* PERSHING SQUARE HOLDINGS, LTD. RELEASES REGULAR WEEKLY NET ASSET VALUE AS OF 20 MARCH 2018

* PERSHING SQUARE HOLDINGS LTD - ‍PSH NAV PER SHARE AS OF CLOSE OF BUSINESS ON 20 MARCH 2018 WAS 16.33 USD / 11.66 GBP​ Source text for Eikon: Further company coverage:

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