India I.T. Fund Ld - Net Asset Value
June 18 1999 - 1:58PM
UK Regulatory
RNS No 762h
THE INDIA IT FUND LIMITED
18 June 1999
We list below as at 17 June 1999 the prices of funds for which we act as
Administrator.
The India IT Fund Limited USD Valuation Point: 17/06/99
Nav 22.83985
END
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