Announcements
Overview
Highlights
Dividends
Annual reports
Results & presentations
Trading summary
Top unitholders
Press releases
Announcements
(current)
Calendar
Events
Announcement
Hektar Reit : Net Asset Value ("Nav")
16 July 2008
Back
Type
:
Announcement
Subject
:
HEKTAR REIT : NET ASSET VALUE ("NAV")
Contents
:
The NAV per unit of Hektar REIT as at 16 July 2008 is RM1.203.
This announcement is dated 16 July 2008.