The net assets value of Riyad REIT Fund reached SAR 1.658 billion as of Dec. 31, 2019, the fund manager said in a bourse statement.
REIT Details (FY 2019) |
|
Net assets of fund’s units (NAV) |
SAR 1.658 bln |
Total Expenses and Fees |
SAR 53.579 mln |
Net Profit/(Loss) |
SAR 70.884 mln |
No. of Outstanding Units |
171.697 mln |
Net Unit Value |
SAR 9.66 |
Unit’s Operating Income |
SAR 92.864 mln |
Yield (%) |
5.7% |
Be the first to comment
Comments Analysis: