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Global Diversified Investment Grade Income Trust II
Symbol GII
Shares Issued 10,392,283
Close 2015-10-01 C$ 0.135
Market Cap C$ 1,402,958
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ORIGINAL: Global Diversified Investment Grade Income Trust II - Net Asset Value as at September 30, 2015

2015-10-05 16:20 ET - News Release

Global Diversified Investment Grade Income Trust II - Net Asset Value as at September 30, 2015

Canada NewsWire

MONTREAL, Oct. 5, 2015 /CNW Telbec/ - Global Diversified Investment Grade Income Trust II ("Global DIGIT II") announces that its net asset value ("NAV") per unit as at September 30, 2015 was estimated to be $0.25.

The NAV on a particular date is equal to the aggregate value of the assets less the aggregate value of the liabilities. The assets of Global DIGIT II consist mainly of cash.

About Global DIGIT II

Global DIGIT II provides an economic interest in an equity tranche of a credit default swap agreement in respect of portfolios of residential mortgage-backed securities, commercial asset-backed and mortgage-backed securities, consumer asset-backed securities, structured exposures to mortgage-backed and asset-backed and corporate securities.

 

SOURCE GLOBAL DIVERSIFIED INVESTMENT GRADE INCOME TRUST II

Contact:

Louis Arteau : 514-394-7563, http://info.fbn.ca/trusts

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