Monday 23 December 2024
 
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NAV

ENBD REIT announces NAV of $292 million

The net asset value (NAV) of ENBD REIT, the Shari’a-compliant real estate investment trust managed by Emirates NBD Asset Management, increased by 1.74 per cent in the second quarter and now stands at $292 million. The proper

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ENBD REIT announces NAV of $292 million

The net asset value (NAV) of ENBD REIT, the Shari’a-compliant real estate investment trust managed by Emirates NBD Asset Management, increased by 1.74 per cent in the second quarter and now stands at $292 million. The proper

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NBAD Sukuk Income Fund delievers 2.33pc dividends

The National Bank of Abu Dhabi’s (NBAD) Sukuk Income Fund has earned a total income of $798,923, which is equivalent to 2.33 per cent of the net asset value (NAV), which includes the intended dividend pay-out of $0.12 per unit.  

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Daman fund posts NAV rise in Feb

The Daman Islamic Fund, a Shari’ah principle-based, UAE-registered open-ended mutual fund, has posted an increase of 0.42 per cent increase in net asset value (NAV) during February. The fund, a unit of Daman Investments, the leading Dubai-

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