InvestorsHub Logo
icon url

Scotttrader80

10/31/19 10:04 AM

#70 RE: Cubs17 #69

Net asset value (“NAV”) per share as of September 30, 2019 stood at $6.63, compared with a NAV per share on June 30, 2019 of $8.01.



Monthly dividend staying the same @ .135 cents per month.

OXLC will slide to NAV, at $6.63 paying .135 cents monthly thats a bargain