Business Services Industry

Net Asset Value for Week Ending January 29, 1999

Business Wire, Feb 1, 1999

DALLAS--(BUSINESS WIRE)--Feb. 1, 1999--The estimated Net Asset Value ("NAV") per share for Renaissance Capital Growth & Income Fund III, Inc. (Nasdaq: RENN) for the week ending January 29, 1999 is $11.47.

The above NAV is an estimate made using the Fund's standard methodology. It involves assumptions concerning the value of assets and liabilities other than portfolio investments and cash. The NAV is determined by the Board of Directors on a quarterly basis.

Source: DigitalWork http://www.digitalwork.com

COPYRIGHT 1999 Business Wire
COPYRIGHT 2008 Gale, Cengage Learning

 

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