0071/00038296/en
Net Asset Value
INTERFUND INVESTMENTS PLC
INF - INTERFUND INVESTMENTS PLC
NET ASSET VALUE

ANNOUNCEMENT

The Net Asset Value of Interfund Investments Plc per share as at 15 March 2022 was EURO 0.1459

Not Regulated
Filing Date: 21/03/2022 16:27

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Disclaimer

Interfund Investments plc published this content on 18 March 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 21 March 2022 14:48:06 UTC.