Latest News and Press Releases
Want to stay updated on the latest news?
-
TORONTO, CANADA--(Marketwired - June 3, 2015) - Canadian World Fund Limited (TSX:CWF) reports on an unaudited basis that its net asset value per share (NAV) at May 31, 2015 was $7.56,...
-
TORONTO, CANADA--(Marketwired - May 5, 2015) - Canadian World Fund Limited (TSX:CWF) reports on an unaudited basis that its net asset value per share (NAV) at April 30, 2015 was $7.29,...
-
TORONTO, CANADA--(Marketwired - April 23, 2015) - Canadian World Fund Limited (TSX:CWF) - This report is filed under section 16.3 of National Instrument 81-106 Investment Fund Continuous...
-
TORONTO, CANADA--(Marketwired - April 6, 2015) - Canadian World Fund Limited (CWF) (TSX:CWF) reports on an unaudited basis that its net asset value per share (NAV) at March 31, 2015 was...
-
TORONTO, CANADA--(Marketwired - March 4, 2015) - Canadian World Fund Limited (TSX:CWF) reports on an unaudited basis that its net asset value per share (NAV) at February 28, 2015 was...
-
TORONTO, CANADA--(Marketwired - Feb. 4, 2015) - Canadian World Fund Limited (CWF) (TSX:CWF) reports on an unaudited basis that its net asset value per share (NAV) at January 31, 2015 was...
-
TORONTO, CANADA--(Marketwired - Jan. 6, 2015) - Canadian World Fund Limited (CWF) (TSX:CWF) reports on an unaudited basis that its net asset value per share (NAV) at December 31, 2014 was...
-
TORONTO, CANADA--(Marketwired - Dec. 3, 2014) - Canadian World Fund Limited (CWF) (TSX:CWF) reports on an unaudited basis that its net asset value per share (NAV) at November 30, 2014 was...
-
TORONTO, CANADA--(Marketwired - Nov. 5, 2014) - Canadian World Fund Limited (CWF) (TSX:CWF) reports on an unaudited basis that its net asset value per share (NAV) at October 31, 2014 was...
-
TORONTO, CANADA--(Marketwired - Oct. 3, 2014) - Canadian World Fund Limited (TSX:CWF) reports on an unaudited basis that its net asset value per share (NAV) at September 30, 2014 was...