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Arbah Capital announce the availability of Arbah Saudi Equity Fund semi-annual report for the period ended 30 June 2019G to public

Arbah Capital announces the availability of Arbah Saudi Equity Fund semi-annual report for the period ended 30 June 2019G.

  • Net asset value at the end of the period: 6,506,625 SAR.
  • Total expenses and fees for the period: 143,195 SAR.
  • Net gain for the period: 226,858 SAR.
  • Net asset value per unit: 9.05 SAR.
  • Number of units at the end of the period: 719,008 units.
  • Units Yield: 2.77%.

Please visit the link below for the report.

https://www.arbahcapital.com/sites/default/files/2019-08/S.E%20Semi-annual%20report%202019_2.pdf