Weekly NAV – 2019

NAV for the following Years
2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | 2006 | 2005
Date NAV
23/05/2019 NAV per share of icapital.biz as at 21 May 2019 was RM3.24
16/05/2019 NAV per share of icapital.biz as at 15 May 2019 was RM3.24
09/05/2019 NAV per share of icapital.biz as at 08 May 2019 was RM3.27
02/05/2019 NAV per share of icapital.biz as at 30 Apr 2019 was RM3.27
25/04/2019 NAV per share of icapital.biz as at 24 Apr 2019 was RM3.29
18/04/2019 NAV per share of icapital.biz as at 17 Apr 2019 was RM3.27
11/04/2019 NAV per share of icapital.biz as at 10 Apr 2019 was RM3.27
04/04/2019 NAV per share of icapital.biz as at 03 Apr 2019 was RM3.23
28/03/2019 NAV per share of icapital.biz as at 27 Mar 2019 was RM3.24
21/03/2019 NAV per share of icapital.biz as at 20 Mar 2019 was RM3.24
14/03/2019 NAV per share of icapital.biz as at 13 Mar 2019 was RM3.24
07/03/2019 NAV per share of icapital.biz as at 06 Mar 2019 was RM3.27
28/02/2019 NAV per share of icapital.biz as at 27 Feb 2019 was RM3.25
21/02/2019 NAV per share of icapital.biz as at 20 Feb 2019 was RM3.26
14/02/2019 NAV per share of icapital.biz as at 13 Feb 2019 was RM3.22
07/02/2019 NAV per share of icapital.biz as at 04 Feb 2019 was RM3.26
31/01/2019 NAV per share of icapital.biz as at 30 Jan 2019 was RM3.25
24/01/2019 NAV per share of icapital.biz as at 23 Jan 2019 was RM3.26
17/01/2019 NAV per share of icapital.biz as at 16 Jan 2019 was RM3.25
10/01/2019 NAV per share of icapital.biz as at 09 Jan 2019 was RM3.22
03/01/2019 NAV per share of icapital.biz as at 02 Jan 2019 was RM3.19