0091/00041615/en |
Net Asset Value |
ACTIBOND GROWTH FUND PUBLIC COMPANY LTD |
ACT - ACTIBOND GROWTH FUND PUBLIC COMPANY LTD |
NET ASSET VALUE |
ANNOUNCEMENT Please find below the net asset value per share after the deduction of all expenses and tax provisions as at 31 January 2023: Net asset value (EURO) 0.0213 |
Not Regulated Filing Date: 06/02/2023 14:38 |
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Actibond Growth Fund pcl published this content on 02 February 2023 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 06 February 2023 12:39:09 UTC.