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Daily NAV of Vision Emerging Oman Fund

Daily NAV of Vision Emerging Oman Fund
Vision Capital
VISION
0.00% 0.00 0.00
Following values are disclosed by Muscat Stock Exchange
Vision Emerging Oman Fund
   
Date NAV
01-07-2015 1.193
02-07-2015 1.197
05-07-2015 1.195
06-07-2015 1.195
07-07-2015 1.193
08-07-2015 1.190
09-07-2015 1.194
12-07-2015 1.197
13-07-2015 1.201
14-07-2015 1.210
15-07-2015 1.210
21-07-2015 1.216
22-07-2015 1.220
26-07-2015 1.219
27-07-2015 1.215
28-07-2015 1.215
29-07-2015 1.214
30-07-2015 1.214