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Daily NAV of Majan Capital Fund - JIA

Daily NAV of Majan Capital Fund - JIA
Following values are disclosed by Muscat Stock Exchange

Date

NAV

YTD

01.04.15

1.338

-4.27

02.04.15

1.337

-4.35

05.04.15

1.327

-5.04

06.04.15

1.334

-4.53

07.04.15

1.353

-3.17

08.04.15

1.364

-2.39

09.04.15

1.369

-1.99

12.04.15

1.368

-2.06

13.04.15

1.370

-1.92

14.04.15

1.374

-1.62

15.04.15

1.388

-0.63

16.04.15

1.395

-0.11

19.04.15

1.407

0.74

20.04.15

1.407

0.74

21.04.15

1.399

0.15