CAPM Unit Fund approves 13pc cash dividend
CAPM Unit Fund approved a 13 percent cash dividend for the year ending on June 30, 2019.
The approval came at a meeting of the board of trustees in Dhaka recently.
The meeting also approved the accounts and audit reports for the same period showing that the total net asset value (NAV) stood at around Tk 9 crore on the basis of cost price and around Tk 8.8 crore on the basis of market price.
The NAV per unit at cost price and market price of the fund are Tk 120.37 and Tk 117.62 respectively. The net profit is around Tk 1.19 crore with earnings per unit of Tk 15.90.
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