NIC Asia Capital Limited has published (NIC Asia Balanced Fund) Net Assets Value (NAV) till Poush, 2079.
Fri, Jan 27, 2023 7:53 AM on Mutual Fund,
NIC Asia Capital Limited has published (NIC Asia Balanced Fund) Net Assets Value (NAV) till Poush, 2079.
![](https://content.sharesansar.com/photos/shares/announcement/1674785367-nicasiabalanced.jpg)