Home
About Us
Investor Relations
Investments
News
Contact Us
Grafton’s Latest Results
Date 31 January 2012 Shares 1,864,645 Net Asset Value $42,364,392.87 NAV Per Share $22.72
Date
31 January 2012
Shares
1,864,645
Net Asset Value
$42,364,392.87
NAV Per Share
$22.72