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NRBC Bank per share NAV Tk15.78 in 3rd Quarter

Business Desk :
NRBC Bank’s consolidated Net Asset Value (NAV) per share stood at Tk 15.78 as of September 30, 2022, which was Tk 15.01 during same period of previous year 2021, according to the Unaudited Balance Sheet which was approved in the last Board meeting held on Thursday.
This year September the consolidated NAV was Tk.1251.80 crore which was Tk. 1,190.88 crore in the preceding year. Solo NAV was Tk.1219.08 crore which was Tk.1172.46 crore as end of September 2021.