Net Asset Value (NAV)

AMANAH SMALLCAP FUND BERHAD

Type

Announcement
SubjectNet Asset Value (NAV)

Contents :

NAV per share as at 16th May 2003 : RM 0.775


Announcement Info

Company NameAMANAH SMALLCAP FUND BERHAD  
Stock Name AMANSFB    
Date Announced16 May 2003  
CategoryGeneral Announcement
Reference NoKK-030516-68560