News
Olive Resource Capital Announces August 31, 2024 NAV of C$0.064 per Share
Toronto, Ontario - September 9, 2024 - Olive Resource Capital Inc. (TSXV: OC) ("Olive" or the "Company") is pleased to provide investors an updated, unaudited Net Asset Value ("NAV") per share. Management has estimated the NAV of the Company at C$0.064 per share for...
Olive Resource Capital Announces July 31, 2024 NAV of C$0.066 per Share
Toronto, Ontario - (August 15, 2024) - Olive Resource Capital Inc. (TSXV: OC) ("Olive" or the "Company") is pleased to provide investors an updated, unaudited Net Asset Value ("NAV") per share. Management has estimated the NAV of the Company at C$0.066 per share for...
Olive Resource Capital Announces June 30, 2024 NAV of C$0.063 per Share
Toronto, Ontario (July 8, 2024) - Olive Resource Capital Inc. (TSXV: OC) ("Olive" or the "Company") is pleased to provide investors an updated, unaudited Net Asset Value ("NAV") per share. Management has estimated the NAV of the Company at C$0.063 per share for June...
Olive Resource Capital Announces May 31, 2024 NAV of C$0.066 per Share
Toronto, Ontario (June 6, 2024) - Olive Resource Capital Inc. (TSXV: OC) ("Olive" or the "Company") is pleased to provide investors an updated, unaudited Net Asset Value ("NAV") per share. Management has estimated the NAV of the Company at C$0.066 per share for May...
Olive Resource Capital Announces April 30, 2024 NAV of C$0.063 per Share
Toronto, Ontario - May 14, 2024 - Olive Resource Capital Inc. (TSXV: OC) ("Olive" or the "Company") is pleased to provide investors an updated, unaudited Net Asset Value ("NAV") per share. Management has estimated the NAV of the Company at C$0.063 per share for April...
Olive Resource Capital Announces March 31, 2024 NAV of C$0.064 per Share
Toronto, Ontario - April 10, 2024 – Olive Resource Capital Inc. (“Olive” or the “Company”) (TSX-V: OC) is pleased to provide investors an updated, unaudited Net Asset Value (“NAV”) per share. Management has estimated the NAV of the Company at C$0.064 per share for...
Olive Resource Capital Announces February 29, 2024 NAV of C$0.065 per Share
Toronto, Ontario- Olive Resource Capital Inc. (TSXV: OC) ("Olive" or the "Company") is pleased to provide investors an updated, unaudited Net Asset Value ("NAV") per share. Management has estimated the NAV of the Company at C$0.065 per share for February 29, 2024...
Olive Resource Capital Announces Normal Course Issuer Bid
Toronto, Ontario, January 15, 2024 – Olive Resource Capital Inc. (“Olive” or the “Company”) (TSX-V: OC) announces today that it has received approval to undertake, at the Company’s discretion, a normal course issuer bid program to purchase up to 10,153,620 of its...
Olive Resource Capital Announces December 31, 2023 NAV of C$0.064 per Share and Offers Update on Its Normal Course Issuer Bid
Toronto, Ontario - (January 9, 2024) - Olive Resource Capital Inc. (TSXV: OC) ("Olive" or the "Company") is pleased to provide investors an updated, unaudited Net Asset Value ("NAV") per share. Management has estimated the NAV of the Company at C$0.064 per share for...
Olive Resource Capital Announces November 30, 2023 NAV of C$0.064 per Share and Announces Grant of Options
TORONTO, December 6, 2023 – Olive Resource Capital Inc. (“Olive” or the “Company”) (TSX-V: OC) is pleased to provide investors an updated, unaudited Net Asset Value (“NAV”) per share. Management has estimated the NAV of the Company at C$0.064 per share for November...