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NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE

KIP REAL ESTATE INVESTMENT TRUST

Type Announcement
Subject NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Description
KIP REAL ESTATE INVESTMENT TRUST - NET ASSET VALUE ("NAV").

The NAV per unit of KIP Real Estate Investment Trust as at 31 December 2021 is RM1.0140.

 

This announcement is dated 19 January 2022.

 






Announcement Info

Company Name KIP REAL ESTATE INVESTMENT TRUST
Stock Name KIPREIT
Date Announced 19 Jan 2022
Category General Announcement for PLC
Reference Number GA1-13012022-00015




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