Net Asset Value Per Share as at October 31, 2015: $0.13 (unaudited)
This website contains references to “net asset value per share” (basic and diluted) (“NAV”) which is a non-GAAP measure. NAV is 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 date. NAV (diluted) is calculated as total assets less total liabilities divided by the total number of common shares of the Company outstanding as at a specific date, calculated based upon the assumption that all outstanding securities of the Company that are convertible into or exercisable for common shares have been converted or exercised. The term NAV does not have any standardized meaning according to GAAP and therefore may not be comparable to similar measures presented by other companies. There is no comparable GAAP measure presented in Pinetree’s consolidated financial statements and thus no applicable quantitative reconciliation for such non-GAAP financial measure. The Company has calculated NAV consistently for many years and believes that the measure provides information useful to its shareholders in understanding our performance, and may assist in the evaluation of the Company’s business relative to that of its peers.
Jan 5, 2016
Pinetree Capital Ltd. (TSX: “PNP”) announces that it has changed its aud...
Full nba 2k12 mac os x nba 2k12 free for nba 2k12 free demo
Roster nba 2k11 pc iso nba 2k10 pc free full version nba 2k13 install free for pc
Version nba 2k12 pc free how to install nba 2k12 cyberface mlb 2k12 pc free
Jan 4, 2016
– Pinetree Capital Ltd. (TSX: “PNP”; “PNP.DB”) announces that it will is...
Nov 26, 2015
Pinetree Capital Ltd. (TSX: “PNP”; “PNP.DB”) announces that it is once a...
July 12, 2013.
MacroBits by Marshall Auerback