British Columbia Discovery Fund Inc. (formerly British Columbia Discovery Fund (VCC) Inc.) Provides Update on Liquidation Proceedings
GlobeNewswire·2025-01-10 16:00
The primary difference in the Pricing Net Asset Value is a reserve for costs to complete the Liquidation accrued as at December 31, 2024 to allow the Liquidator to file a final tax return and obtain a clearance certificate from the Canada Revenue Agency. The Liquidator is required to obtain a clearance certificate from the Canada Revenue Agency before dissolution pursuant to the Exemption Order issued by the British Columbia Securities Commission on November 25, 2020 and the Voluntary Liquidation proceeding ...