VANCOUVER, BRITISH COLUMBIA -- (Marketwire) -- 06/22/12 -- Resinco® Capital Partners Inc. ("Resinco") (TSX: RIN)(FRANKFURT: L6V) announces that it is publishing its net asset value (NAV) for the end of May 2012. As of May 31st, 2012 Resinco's unaudited NAV per share was 0.0749. The closing price of $0.04 on May 31st, 2012 represents a 47% discount to the NAV.Use of Non-GAAP Financial MeasuresNAV is a non-GAAP financial measure calculated as the value of total assets less the value of total liabilities divided by the total number of common shares outstanding as at a specific dat [...]


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