May 2, 2018 / 11:21 PM / 3 months ago

BRIEF-AP Alternative Assets NAV At March 31 Was $30.8 Mln

May 2 (Reuters) - AP Alternative Assets LP:

* NET ASSET VALUE AT MARCH 31, 2018 WAS $30.8 MILLION, OR $0.40 PER UNIT Source text for Eikon: Further company coverage:

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