Net Assets Value of Qatar Exchange Index Fund for Traded Funds Amounts QAR 365.30 Million in the 3rd Quarter 2019

 

Unit net value QAR 10.222

 

30 October 2019

 

Qatar Exchange Index Fund for the traded funds has disclosed it financial statements for the 9 months period ended 30 September 2019.

 

The statements reflected that the net asset value of the fund as of 30 September 2019 amounted QAR 365.30 million and the net asset value per unit amounted QAR 10.222.

 

 

It is to be noted that the fund’s units were splitted (on 1/10 basis) at the market close on 07 July 2019.