| Symbol | NICGF2 (NIC Asia Growth Fund-2) | 
                            
                                | Fiscal Year | 082-083 | 
                            
                                | Announcement Detail | NIC Asia Capital Limited has published the Net Asset Value (NAV) of the "NIC Asia Growth Fund 2" as of Ashwin, 2082 | 
                            
                                | Announcement Date | 2025/10/30 AD (2082/07/13 BS) | 
                            
                                | Tags | NAV | 
                            
                                | Agenda |  | 
                            
                                | Bookclose Date |  | 
                            
                                | % Cash Dividend |  | 
                            
                                | % Bonus Share |  | 
                            
                                | Right Share Ratio |  | 
                            
                                | Date | 2025/10/30 AD (2082/07/13 BS) | 
                            
                                | Venue |  | 
                            
                                | Time |  |