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Premium Income Corporation Announces Daily NAV During Rights Offering

December 01, 2012

TORONTO, ONTARIO--(Marketwire - Nov. 30, 2012) - Premium Income Corporation (the "Fund")(TSX: PIC.A)(TSX:PIC.PR.A)(TSX:PIC.RT) is pleased to announce that beginning Monday December 3, 2012 through Tuesday December 11, 2012 the Fund will be calculating and publishing on its website, a daily Net Asset Value per share with respect to its Class A Shares and Preferred Shares. This is being done to assist shareholders in making a fully informed investment decision regarding the exercise of Rights recently issued and which expire on December 11, 2012.

Source URL: http://www.marketwire.com/mw/release.do?id=1732569&sourceType=3
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