VANCOUVER, BRITISH COLUMBIA — (Marketwire) — 09/26/11 — Resinco Capital Partners Inc. ("Resinco")(TSX: RIN)(FRANKFURT: L6V) announces that it is publishing its net asset value (NAV) for the end of August 2011. As of August 31st, 2011 Resinco-s unaudited NAV per share was $0.1145. The closing price of $0.075 on August 31st, 2011 represents a 34.5% discount to the NAV.Use of Non-GAAP Financial MeasuresNAV is a non-GAAP financial measure calculated as the value of total assets less t