From: Sem Trading Stock Exchange Of Mauritius
[warren.dantier@sem.intnet.mu]
Sent: Tuesday, January 16, 2007 2:57
PM
To: ASSOCIATED BROKERS 02
Subject: Fw: NIT NAV DEC 06
----- Original Message -----
Sent: Monday, January 15, 2007 11:55 AM
Subject: Fw: NIT NAV DEC 06
Notice is hereby given that the Net Asset Value of the National
Investment Trust Ltd as at 31.12.06 is Rs 42.01.
This Communiqué is issued pursuant to Listing Rule
16.17.
The Board of Directors of the National Investment
Trust Ltd accepts full responsibility for the accuracy of the information
contained in this communiqué.
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