Al Rayan ETF Qatar Discloses its 1st Half 2020 Financial Results

26-07-2020


 

Al Rayan Exchange Traded Fund ‘ETF’ disclosed today its financial results for the 1st half 2020. Fund’s Net Asset Value ‘NAV’ for the period amounted QAR 457,211,368 which represents 2.0257 NAV per unit.

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