Mubasher TV
Contact Us Advertising   العربية

Weekly Net Asset Value / NAV

Title:

Weekly Net Asset Value / NAV ISHRAQ ENDOWMENT INVESTMENT FUND

Content: 

Weekly NAV for the month of June 2026

Day And Date

 NAV in OMR

 Wednesday 17/06/2026

 1.044204

 

IEIF-21062026-9

Comments