India I.T. Fund Ld - Net Asset Value
July 05 1999 - 7:32AM
UK Regulatory
RNS No 9030p
INDIA I.T. FUND LD
5 July 1999
UTI (GUERNSEY) LIMITED
INDIA IT FUND LIMITED USD Valuation Point: 30/06/99
NAV 25.37959
END
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