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ICAP
3.060
+0.03 (+1%)
NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
ICAPITAL.BIZ BERHAD
Type
Announcement
Subject
NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Description
On behalf of the Board of icapital.biz Berhad, we wish to announce that the Net Asset Value per share of icapital.biz Berhad as at 14 January 2015 was RM2.90.
Announcement Info
Company Name
ICAPITAL.BIZ BERHAD
Stock Name
ICAP
Date Announced
15 Jan 2015
Category
General Announcement
Reference No
CK-150114-856C3
View original announcement