Symbol
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NICGF (NIC Asia Growth Fund)
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Fiscal Year
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081-082 |
Announcement Detail
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NIC Asia Capital Limited has distributed a return of Rs.11.43 per unit (cash dividend) to the unitholders of the "NIC Asia Growth Fund" from Ashad 09, 2082 and has also published the audited statement of net assets of the scheme as of Falgun 28, 2081
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Announcement Date
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2025/06/24 AD (2082/03/10 BS)
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Tags
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Notice
Return Scheme
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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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2025/06/23 AD (2082/03/09 BS)
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Venue
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NIC Asia Capital Limited, Trade Tower Nepal, Thapathali-11, Kathmandu |
Time
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