To follow the market trend you require the latest market information. Our market news provides you with up to date information as to what obtains in every market.
[2007-10-15] Net Asset Value as at September 30, 2007 Notice is hereby given that the Net Asset Value per share (as per unaudited accounts) of LIT as at September 30, 2007 was Rs 43.98
October 2007
This notice is issued pursuant to Listing Rule 16.17.
The Board of Directors of Liberty Investment Trust Ltd accepts full responsibility for the accuracy of the information contained in this notice.