Riyad REIT Fund’s net asset value reaches SAR 1.658 bln in Q2 2020

14/07/2020 Argaam

Riyad REIT Fund’s net asset value (NAV) stood at SAR 1.658 billion for the period ending June 30, 2020, Riyad Capital said in a bourse statement on Tuesday.

 

NAV per unit hit SAR 9.66 in Q2 2020, while unit price stood at SAR 7.97 for the same period.

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