Symbol
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NICBF (NIC Asia Balanced Fund)
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Fiscal Year
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081-082 |
Announcement Detail
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NIC Asia Capital Limited has published the Net Asset Value (NAV) of the "NIC Asia Balanced Fund" as of Chaitra, 2081
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Announcement Date
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2025/04/27 AD (2082/01/14 BS)
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Tags
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NAV
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Agenda
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Bookclose Date
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% Cash Dividend
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% Bonus Share
|
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Right Share Ratio
|
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Date
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2025/04/27 AD (2082/01/14 BS)
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Venue
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Time
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