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Introduction | Middle East Financial Investment Company (MEFIC Capital). Announces MEFIC SAR Murabaha Fund Annual Reviewed results. The following is a summary of the annual financial results for the period ending 31 December 2020: Net Asset Value at the end of the period: 12,743,000 Total Expenses and Fees for the period: 51 Net Income for the period: 51. Number of Units: 127,430 units Net Asset Value per unit: 127,430 Total returns for the period: (13.8%) |
Copy of the Statement | MEFIC SAR Murabaha Annual Report |