⌘K
t
| TIDM | OIG |
| Share Price | Loading... |
| Market Cap | Loading... |
Oryx International Growth Fund Limited announced its Month-End Net Asset Value. As of 31 August 2025, the Total NAV was £266,786,573.30, and the NAV per Share was £19.06.
| Date | 8 Sept 2025 |
| Time | 11:15:05 |
| Category | Corporate updates |
| ID | 4262Y |
08 September 2025
Oryx International Growth Fund Limited
(an investment company registered with limited liability in Guernsey with company number 28917)
Month-End Net Asset Value
31/08/2025 Total NAV £266,786,573.30 NAV per Share £19.06
Enquiries
Fund Services Department
BNP Paribas S.A., Guernsey Branch
Tel: + 44 1481 750850