Mulkia Investment Company Announces the Availability of the Annual Financial Statements for Mulkia Saudi Equity Fund for the period ending on 31/12/2019 as following:
– Net Asset Value as 31/12/2019 is 8,745,474 SAR.
– Total expenses and fees for the period 1/1/2019 – 31/12/2019 is 314,194 SAR.
– Net Profit / for the period 1/1/2019 – 31/12/2019 is 932,642 SAR.
– Issued Units 1,194,548
– Net Asset Value per unit 7.32 SAR.
-YTD Change (2019) 7.23 %
For Annual Financial Statements for Mulkia Saudi Equity Fund year-end of 31/12/2019, please visit the link below:
صندوق ملكية للاسهم 31-21-2019