Middle East Financial Investment Company (MEFIC Capital). Announces that MEFIC SAR Murabaha Fund’s Annual results. Including the annual audited financial statements, for the period ended on 31/12/2023G.
- Net Asset Value at the end of the period: 95,183,653SAR.
- Total Expenses and Fees for the period: 0 SAR.
- Net profit (loss) for the period: 183,653 SAR.
- Number of outstanding Units at the end of period: 949,735 units.
- Net Asset Value per unit: 100.22 SAR.
- Revenue for the period: (0%)
For the Fund’s Annual Financial reports, please visit: Reports.