The Company has further informed that they made some unintentional mistakes in their Dividend Disclosures (published on 29.10.18). Therefore, they provided some rectified figures which are as follows: NAV Per Share would be Tk. 28.51 instead of Tk. 29.81 as on June 30, 2018. Moreover, NAV per share would be Tk. 29.08 instead of Tk. 28.94 and EPS would be Tk. (0.93) instead of Tk. (1.07) due to prior year adjustment of Audited accounts for the year ended on June 30, 2017.