|
Symbol
|
ELIS (NIC Asia Equity Linked Investment Scheme)
|
|
Fiscal Year
|
082-083 |
|
Announcement Detail
|
NIC Asia Capital Limited has published the Net Asset Value (NAV) of the "NIC Asia Equity Linked Investment Scheme" as of Ashwin, 2082
|
|
Announcement Date
|
2025/10/30 AD (2082/07/13 BS)
|
|
Tags
|
NAV
|
|
Agenda
|
|
|
Bookclose Date
|
|
|
% Cash Dividend
|
|
|
% Bonus Share
|
|
|
Right Share Ratio
|
|
|
Date
|
2025/10/30 AD (2082/07/13 BS)
|
|
Venue
|
|
|
Time
|
|