ResincoTM Capital Partners Inc. Releases July 2011 Net Asset Value
Resinco™ Capital Partners Inc. (TSE:RIN) reports that it is publishing its net asset value for the end of June, 2011.
Resinco™ Capital Partners Inc. (TSX:RIN) reports that it is publishing its net asset value for the end of June, 2011.
The press release is quoted as saying:
As of July 31st, 2011 Resinco’s unaudited NAV per share was $0.1295. The closing price of $0.095 on July 29th, 2011 represents a 26.6% discount to the NAV.
Resinco (Resource Investment Company) is a global investment company that specializes in providing early stage financing to private and public exploration and mining companies in the hard rock minerals, precious metals, rare-earth minerals, oil, gas, water and renewable energy markets.
Click here to access the entire news release.
Click here to access Resinco Capital Partners’ company profile. (TSX:RIN)