QSE Index ‘ETF’ Fund Discloses Its 1st Half 2020 Financials 

06-08-2020


QSE Index ‘ETF’ fund announced its financial statements for the 1st half 2020. The Fund’s financials for the period reflected net asset value ‘NAV’ of QAR 358,910,937 bringing the NAV per unit to QAR 8.848.
The Fund’s committee ratified the distribution of QAR 0.377 yields per unit for the year ended 31 December 2019 (already paid on 07 April 2020), compared to QAR 0.425 for 2018. It has also ratified the distribution of QAR 0.333 yields per unit distributed earlier on 23 April 2020, and QAR 0.044 yields per unit distributed earlier on 19 May 2020.


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