Jadwa REIT Saudi Fund’s NAV hits SAR 1.77 bln in Q1 2020

13/04/2020 Argaam

 

The net asset value (NAV) of Jadwa REIT Saudi Fund reached SAR 1.77 billion as of March 31, 2020, fund manager Jadwa Investment said in a bourse filing on Monday.

 

REIT Details (Q1 2020)

Fund size

SAR 1.58 bln

Outstanding units

158 mln

Face value per unit

SAR 10

NAV per unit         

SAR 11.17

NAV

SAR 1.765 bln

Portfolio value

SAR 1.839 bln

Comments {{getCommentCount()}}

Be the first to comment

loader Train
Sorry: the validity period has ended to comment on this news
Opinions expressed in the comments section do not reflect the views of Argaam. Abusive comments of any kind will be removed. Political or religious commentary will not be tolerated.