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Nippon Active Value - Monthly Factsheet

NAVF · NAVF15 Nov 2022

RNS Number: 4759 G Nippon Active Value Fund PLC 15 November 2022 LEI: 213800 JOFEGZJYS21P75. Nippon Active Value Fund plc. Nippon Active Value Fund plc is pleased to announce the monthly factsheet as at 31 October 2022:.

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