Brief: Actibond Growth reports NAV at 2.67 euros
March 1 (Reuters) - Actibond Growth Fund Public Company Ltd
ACTG.CY :
* Reports net asset value (NAV) as of Feb. 28 at 2.67 euros
($2.81) per share
Source text: http://bit.ly/2mPt3pP
Further company coverage: ACTG.CY
($1 = 0.9517 euros)
(Gdynia Newsroom)
((Gdynia.newsroom@thomsonreuters.com; +48 58 772 0920;))