Brief: Oxford Lane Capital Provides February Net Asset Value Update
March 7 (Reuters) - Oxford Lane Capital Corp OXLC.O :
* OXFORD LANE CAPITAL CORP. PROVIDES FEBRUARY NET ASSET
VALUE
UPDATE
* OXFORD LANE CAPITAL: UNAUDITED ESTIMATE OF RANGE OF NAV
PER
SHARE OF COMMON STOCK AS OF FEB 29 IS BETWEEN $4.90 - $5.00
Source text for Eikon: ID:nGNXbXQs04
Further company coverage: OXLC.O
((Reuters.Briefs@thomsonreuters.com;))
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