Weekly Net Asset Value / NAV
Title:
Weekly Net Asset Value / NAV NBO Global Fixed Income Fund
Content:
Weekly NAV for the month of February 2026
| Day And Date |
NAV in OMR |
| Wednesday 04/02/2026 |
1.0282075 |
Title:
Weekly Net Asset Value / NAV NBO Global Fixed Income Fund
Content:
Weekly NAV for the month of February 2026
| Day And Date |
NAV in OMR |
| Wednesday 04/02/2026 |
1.0282075 |
Comments