THE MAURITIUS DEVELOPMENT INVESTMENT TRUST
COMPANY LIMITED (MDIT)
NET ASSET VALUE AT 30 SEPTEMBER 2022 OF RS 3.27 EX FINAL DIVIDEND
Notice is hereby given that the Net Asset Value per share at 30 September 2022 of The Mauritius Development Investment Trust Company Limited was Rs 3.27 ex final dividend of Rs 0.12.
By Order of the Board
Ah Vee K.C. Li Chun Fong
Secretary
14 October 2022
The Board of Directors of The Mauritius Development Investment Trust Company Limited accepts full responsibility for the accuracy of this Notice published pursuant to Listing Rule 16.17
The Mauritius Development | T (230) 213 2298 |
Investment Trust Company Limited | F (230) 213 2636 |
7th Floor, Newton Tower | E mdit@intnet.mu |
Sir William Newton Street | www.mdit.mu |
Port Louis | BRN No: C0700159 |
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Mauritius Development Invest Trust Co. Ltd. published this content on 14 October 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 14 October 2022 13:22:02 UTC.