India Advantage Fund Ltd : Net Asset Value

 

India Advantage Fund Limited

 

 

(the "Company")

 

 

Class C Redeemable Participating Shares

 

ISIN: MU0196S00230

 

 

Valuation date Currency NAV/Share Shares in issue Net Assets
 

   12 January 2017
 

USD

 
 

268.77
 

454,958
 

122,282,954

 

 

All queries should be forwarded to the Company's Administrator:

 

 

Email address: iaf@ifsmauritius.com

 

Telephone:      +230 467 3000

 

Facsimile:       +230 454 5339

 


Net asset value as at 12.01.2017 of
India Advantage Fund Ltd
(TIDM: IAFC):
NAV-bid........... : 268.77 USD
Shares in issue... : 454958
Total value....... : 122282954




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The issuer of this announcement warrants that they are solely responsible for the content, accuracy and originality of the information contained therein.

Source: India Advantage Fund Ltd via GlobeNewswire

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