SET Announcements

NAV announcement as of 31 Dec, 2010 (Revised)

23 February 2011


CPN RETAIL GROWTH LEASEHOLD PROPERTY FUND (CPNPF)
NAV Report As at December 31, 2010

Net Asset Value (Baht) 16,808,586,370.13
NAV Per Unit (Baht) 10.2721