版本:
中国

BRIEF-Oxford Lane Capital reports NAV per share $10.20 as of March 31

May 17 Oxford Lane Capital Corp

* Oxford Lane Capital - net asset value per share as of March 31, stood at $10.20 versus a net asset value per share at December 31, 2016 of $10.74

* Oxford Lane Capital Corp qtrly net investment income was approximately $9.8 million

* Oxford Lane Capital Corp - core net investment income was approximately $9.3 million, or approximately $0.43 per share, for quarter ended March 31, 2017 Source text for Eikon: Further company coverage:

我们的标准: 汤森路透“信任原则

更多 公司新闻(英文)

热门文章

编辑推荐

文章推荐