NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
KIP REAL ESTATE INVESTMENT TRUST |
Type | Announcement |
Subject | NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE |
Description | KIP REAL ESTATE INVESTMENT TRUST - NET ASSET VALUE ("NAV"). |
The NAV per unit of KIP Real Estate Investment Trust as at 31 December 2022 is RM1.0565.
This announcement is dated 17 January 2023.
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Announcement Info
Company Name | KIP REAL ESTATE INVESTMENT TRUST |
Stock Name | KIPREIT |
Date Announced | 17 Jan 2023 |
Category | General Announcement for PLC |
Reference Number | GA1-06012023-00034 |