Al Rayan Fund Net Asset
Value Amounts QAR 522.5 Million as of 31 December 2019
26 January 2020
Al Rayan Fund, listed and traded on
Qatar Stock Exchange (QSE), has disclosed its net asset value ‘NAV’
which amounted QAR 522,500,315 as of 31 December 2019 representing QAR
2.322 per unit.
It is projected that Al Rayan Fund to
distribute 2019 gains within the second quarter 2020.