The Mauritius Development Investment Trust Co. Ltd – NAV at 31 May 2022 was Rs 3.72

By Published On: June 17th, 2022Categories: Corporate announcement

Notice is hereby given that the Net Asset Value at 31 May 2022 of The Mauritius Development Investment Trust Company Limited was Rs 3.72 ex interim dividend of Rs 0.07 paid on 10 June 2022.

By Order of the Board
Ah Vee K.C. Li Chun Fong

Secretary
15 June 2022


The Mauritius Development Investment Trust Co. Ltd (MDIT.mu)

Share price: 4.56 MUR (0.00 | 0.00% – )

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