Mubasher TV
Contact Us Advertising   العربية

Daily NAV of Al Hilal MENA Fund

Following values are disclosed by Muscat Stock Exchange
التاريخ قيمة صافي الأصول   القيمة المعدلة للوحده منذ التأسيس
01-Nov-17                             0.817                                          0.867
02-Nov-17                             0.820                                          0.870
05-Nov-17                             0.815                                          0.865
06-Nov-17                             0.809                                          0.859
07-Nov-17                             0.801                                          0.851
08-Nov-17                             0.801                                          0.851
09-Nov-17                             0.802                                          0.852
12-Nov-17                             0.796                                          0.846
13-Nov-17                             0.797                                          0.847
14-Nov-17                             0.798                                          0.848
15-Nov-17                             0.795                                          0.845
(**) NAV تعديل لتوزيع أرباح نقدية بواقع 0.050 ريال عماني لكل وحدة

Comments