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Daily NAV of Majan Capital Fund - JIA

Oman & Emirates Investment Holding OEIO 10.00% 0.07 0.01
Following values are disclosed by Muscat Stock Exchange

Date

NAV

YTD%

01.11.17

1.084

(0.90)

02.11.17

1.083

(0.99)

05.11.17

1.079

(1.37)

06.11.17

1.075

(1.75)

07.11.17

1.072

(2.03)

08.11.17

1.066

(2.60)

09.11.17

1.067

(2.50)

12.11.17

1.067

(2.50)

13.11.17

1.068

(2.41)

14.11.17

1.068

(2.41)

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