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Oman Al Arabi GCC Markets Fund Weekly NAV

Oman Al Arabi GCC Markets Fund Weekly NAV
OAB
OAB
0.00% 0.15 0.00

Oman Arab Bank - Investment Management Group: the Fund Managers & Administrators of Oman Al Arabi GCC Market Fund would like to declare the latest weekly Net Asset Value of the Fund as follows:

OAF Inception Date*

17-Nov-09

NAV Date

05-November-2015

NAV (OMR)

0.984

Adjusted NAV** (OMR)

1.235

Cash Dividend paid since inception (OMR)

0.03

Unit Dividend paid since inception

21%

YTD Performance

-3.4%

Performance since inception

32.6%

* First NAV was  issued on 4th March 2010

** Adjusted for cash and bonus dividends