Perpetual Japanese - Net Asset Value
02 July 1997 - 1:27AM
UK Regulatory
RNS No 7992n
PERPETUAL JAPANESE INVESTMENT TRUST PLC
1st July 1997
PERPETUAL JAPANESE INVESTMENT TRUST PLC ANNOUNCES THE NET ASSET VALUE
OF ITS ORDINARY SHARES AS AT 1ST JULY 1997
NET ASSET VALUE 12:00 60.48P
END
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