(Continuation news of GPHISPAT): BSEC notification dated 18 August 2013. The amount of Fixed Assets has been increased from Tk. 3,85,16,77,558.00 to Tk. 8,18,20,60,663.00. Revaluation surplus was Tk. 4,33,03,83,105.00. They also informed that after revaluation Net Assets Value would be Tk. 11,72,42,17,480 and NAV per share would be Tk. 29.52. (end)