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Jadwa Investment Announces the (uaudited) Net Asset Value for Jadwa REIT Saudi Fund for the period ending on 31 March 2018

Jadwa Investment announces the unaudited Net Asset Value (NAV) for Jadwa REIT Saudi Fund for the period ending on 15/07/1439H corresponding to 31 March 2018 based on the evaluators reports of White Cubes and Valustrat as following:

- Net Asset Value (NAV) based on fair value at the end of the period is SAR 1.73 billion.

- Net Asset Value per unit based on fair value* at the end of the period is SAR 10.95.

*Fair value NAV per unit is calculated on the basis of the average fair value of the Fund's properties, which were valued by two independant certified evaluators as of 31/03/2018.

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