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 31/12/2021G.
Element List | Explanation |
---|---|
Net Asset Value at the end of the period: | 0 |
Total Expenses and Fees for the period: | 33,290 |
Net Income for the period: | 7,504 |
Number of Units: | 0 units |
Net Asset Value per unit: | 0 |
Total returns for the period: | 0 % |
For the Fund’s Annual Financial Reports, please download: | SAR Murabaha Fund Annual Report |