0071/00039400/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 June 2022 was EURO 0.1474

Not Regulated
Filing Date: 20/06/2022 10:44

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Interfund Investments plc published this content on 17 June 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 20 June 2022 08:03:05 UTC.