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Mauritius Development Investment Trust : NAV

(marketscreener.com) THE MAURITIUS DEVELOPMENT INVESTMENT TRUST COMPANY LIMITED NET ASSET VALUE AT 31 JULY 2022 OF RS 3.56 CUM FINAL DIVIDEND Notice is hereby given that the Net Asset Value at 31 July 2022 of The Mauritius Development Investment Trust Company Limited was Rs 3.56 cum...https://www.marketscreener.com/quote/stock/THE-MAURITIUS-DEVELOPMENT-20701938/news/Mauritius-Development-Investment-Trust-NAV-41325409/?utm_medium=RSS&utm_content=20220816

Published 821 days ago

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