TORONTO, CANADA -- (Marketwired) -- 07/06/15 -- Canadian World Fund Limited (TSX: CWF) (CWF) reports on an unaudited basis that its net asset value per share (NAV) at June 30, 2015 was $7.52, resulting in year-to-date and 12-month NAV returns of 11.9% and 13.1%, respectively. These compare with th ...
↧