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BRIEF-National Investment Trust says NAV per share as at Oct 31 was 35.43‍​ rupees
November 13, 2017 / 7:43 AM / 7 days ago

BRIEF-National Investment Trust says NAV per share as at Oct 31 was 35.43‍​ rupees

Nov 13 (Reuters) - NATIONAL INVESTMENT TRUST LTD:

* NET ASSET VALUE PER SHARE OF NATIONAL INVESTMENT TRUST LTD AS AT OCT 31 WAS 35.43‍​ RUPEES Source: bit.ly/2AFuwXE Further company coverage: (Bangalore.newsroom@thomsonreuters.com)

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