BRIEF-Rand Capital reports NAV of $5.00/shr at June 30, 2017
* Rand Capital Corp – reported $5.00 net asset value pershare at June 30, 2017, compared with $5.10 at March 31, 2017
The post BRIEF-Rand Capital reports NAV of $5.00/shr at June 30, 2017 appeared first on RocketNews | Top News Stories From Around the Globe.
Read more »