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As of December 31, 2011, Pinetree Capital Ltd.’s (TSX:PNP) unaudited net asset value per share (“NAV”) was $2.61. NAV is calculated as at a particular date and is, by its nature, historical, and may not be reflective of Pinetree’s future performance.

As of December 31, 2011, Pinetree Capital Ltd.’s (TSX:PNP) unaudited net asset value per share (“NAV”) was $2.61. NAV is calculated as at a particular date and is, by its nature, historical, and may not be reflective of Pinetree’s future performance.

As quoted in the press release:

Pinetree discloses an unaudited monthly NAV within 15 days after the month-end. The latest month-end NAV and more details about Pinetree and its investments can be found on Pinetree’s website at www.pinetreecapital.com.

Click here to read the Pinetree Capital Ltd. (TSX:PNP) press release


Click here to see the Pinetree Capital Ltd. (TSX:PNP) profile.

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