Net Asset Value(s)
2004年1月28日 - 11:12PM
RNSを含む英国規制内ニュース (英語)
Daily NAV Announcement
Fidelity Asian Values Plc
The net asset value (unaudited) for the above fund at midday on 28/01/2004 was:
Undiluted 72.93p.
NB. Revenue to date is included in the Net Asset Value calculation.
END