Announcement Variation
Content Languages: 
0005/00018868/en
Net Asset Value
CYTRUSTEES INVESTMENT PUBLIC COMPANY LTD
CYTR - CYTRUSTEES INVESTMENT PUBLIC COMPANY LTD
NAV 15 02 2017

17 February 2017

The Net Asset Value of the Share of Cytrustees Investment Public Co Ltd as at 15 February 2017 was Euro 0.2554.

The Cyprus Investment and Securities Corporation Ltd (CISCO)

Secretary

Not Regulated
Filing Date: 17/02/2017 13:00

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