News
Olive Resource Capital Announces July 31, 2022 NAV of C$0.078 per Share
Toronto, Ontario--(August 11, 2022) - 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$0.078 per share for...
Olive Resource Capital Completes Acquisition of C$2.5M Portfolio of Assets
Toronto, Ontario--(August 2, 2022) - Olive Resource Capital Inc. (TSXV: OC) ("Olive" or the "Company") is pleased to announce that it has closed the previously announced asset purchase agreement (the "Purchase Agreement") to acquire a portfolio of assets from...
Olive Resource Capital Announces June 30, 2022 NAV of C$0.073 per Share
Toronto, Ontario (July 7, 2022) - 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$0.073 per share for June...
Olive Resource Capital Announces May 31, 2022 NAV of C$0.106 per Share
Toronto, Ontario--(June 7, 2022) - 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$0.106 per share for May...
Olive Resource Capital Announces Agreement to Acquire C$2.5M Portfolio of Assets
Toronto, Ontario--(May 18, 2022) - Olive Resource Capital Inc. (TSXV: OC) ("Olive" or the "Company") is pleased to announce that it has entered into an agreement with CannaIncome Fund Corporation ("CiF") to acquire a portfolio of assets (the "Transaction") consisting...
Olive Resource Capital Announces April 30, 2022 NAV of C$0.115 Per Share
Toronto, Ontario--(May 4, 2022) - 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$0.115 per share for April...
Olive Resource Capital Announces March 31, 2022 NAV of C$0.116 per Share
TORONTO, April 6, 2022 – 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$0.116 per share for March 31, 2022...
Olive Resource Capital Announces February 28, 2022 NAV of C$0.108 per Share
TORONTO, March 4, 2022 – 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$0.108 per share for February 28,...
Olive Resource Capital Announces January 31, 2022 NAV of C$0.108 per Share
TORONTO, February 8, 2022 – 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 for the month ending January 31, 2022. Management has estimated the NAV of the...
Olive Resource Capital Announces the Appointment of Market Maker
TORONTO, January 28, 2022 - Olive Resource Capital Inc. (“Olive” or the “Company”) (TSX-V: OC) is pleased to announce the appointment of Red Cloud Securities Inc. (“Red Cloud”) to provide market making services in accordance with TSX Venture Exchange (“TSX-V”)...