TORONTO, Canada, Aug. 17, 2023 Canadian General Investments, Limited , announces that it has submitted its 2023 Interim Report, which includes the Management Report of Fund Performance and.
TORONTO, Canada, Aug. 03, 2023 Canadian General Investments, Limited reports on an unaudited basis that its net asset value per share at July 31, 2023 was $58.05, resulting in year-to-date.
TORONTO, Canada, July 20, 2023 Canadian General Investments, Limited has declared a quarterly dividend of $0.24 per share payable on September 15, 2023 to common shareholders of record at the.