Monthly Update and EGM Results
NAV AS AT 31 OCTOBER 2018
The Net Asset Value1 as at 31 October 2018 has increased to USD 1.77 per share.
The total Net Asset Value of the REIT stands at USD 530 million (AED 1.9 billion).
The Portfolio Value stands at USD 919 million (AED 3.4 billion).
EGM RESULTS
The Shareholders met at 2:00 pm on Monday 26 November 2018 to consider a resolution authorizing secure financing from Dubai Islamic Bank for a total amount up to AED 500 million (USD 136 million). The shareholders approved the proposed resolution.
For further information, please refer to our Shareholders Services section on our Investor Relations Page.
1 - The unaudited Net Asset Value attributable to the ordinary shares is calculated under International Financial Reporting Standards (IFRS) by the REIT's independent Fund Administrator.
The Net Asset Value1 as at 31 October 2018 has increased to USD 1.77 per share.
The total Net Asset Value of the REIT stands at USD 530 million (AED 1.9 billion).
The Portfolio Value stands at USD 919 million (AED 3.4 billion).
EGM RESULTS
The Shareholders met at 2:00 pm on Monday 26 November 2018 to consider a resolution authorizing secure financing from Dubai Islamic Bank for a total amount up to AED 500 million (USD 136 million). The shareholders approved the proposed resolution.
For further information, please refer to our Shareholders Services section on our Investor Relations Page.
1 - The unaudited Net Asset Value attributable to the ordinary shares is calculated under International Financial Reporting Standards (IFRS) by the REIT's independent Fund Administrator.
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