SEDCO Capital REIT’s NAV hits SAR 561.52 mln in FY2019

30/03/2020 Argaam

The net assets value (NAV) of SEDCO Capital REIT Fund reached SAR 561.52 million as of Dec. 31, 2019, fund manager SEDCO Capital said in a bourse statement.

 

REIT Details (FY2019)

Net assets

SAR 561.52 mln

Total expenses and fees

SAR 58.98 mln

Net income

SAR 22.13 mln

Number of units

60 mln

Net unit value

SAR 9.8173

Annual dividend yield at par value

6.60%

 

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