Brief: Oxford Lane Capital Provides January Net Asset Value Update
Feb 6 (Reuters) - Oxford Lane Capital Corp OXLC.O :
* OXFORD LANE CAPITAL CORP. PROVIDES JANUARY NET ASSET VALUE
UPDATE
* OXFORD LANE CAPITAL CORP - UNAUDITED ESTIMATE OF RANGE OF
NAV
PER SHARE OF OUR COMMON STOCK AS OF JAN 31, 2023 IS BETWEEN
$5.02 AND $5.12
Source text for Eikon: ID:nGNX1vcvcT
Further company coverage: OXLC.O
Recent news on Oxford Lane Capital
See all newsBrief: Elliott Investment Management Reports Share Stake Of 216,756 Sponsored Ads In HDFC Bank Ltd
U.S. STOCKS ON THE MOVE-Church & Dwight, Tesla, Oppenheimer
Oxford Lane Capital slides after slashing distribution by 50%
Brief: Oxford Lane Capital Provides May 2025 Net Asset Value Update
U.S. STOCKS ON THE MOVE-Super Micro Computer, FedEx, US airlines