Feb 11 (Reuters) - Oxford Lane Capital Corp OXLC.O :
* OXFORD LANE CAPITAL CORP. ANNOUNCES NET ASSET VALUE AND
SELECTED
FINANCIAL RESULTS FOR THE THIRD FISCAL QUARTER
* OXFORD LANE CAPITAL CORP - GAAP NET INVESTMENT INCOME WAS
ABOUT
$12.3 MILLION, OR $0.33 PER SHARE, FOR QUARTER ENDED DECEMBER
31, 2018
* OXFORD LANE CAPITAL - NET ASSET VALUE ("NAV") PER SHARE AS
OF
DEC 31, 2018 STOOD AT $7.56, COMPARED WITH A NAV PER SHARE ON
SEPT 30, 2018 OF $9.93
Source text for Eikon: ID:nGNX1cvffK
Further company coverage: OXLC.O
((Reuters.Briefs@thomsonreuters.com;))