Muscat Capital Announces the Annual financial statements for AL Mashaar REIT Fund for the year ended on 31 December 2018 To the public

Tuesday, February 5, 2019

Muscat Capital Announces the Annual financial statements for AL Mashaar REIT Fund for the year ended on 31 December 2018 To the public

Muscat Capital Announces the financial results for Al Mashaar REIT Fund for the period ending on 31 Dec 2018 as following:

- Net Asset Value as 31/12/2018 is 582,155,172 riyal

- Total expenses and fees is 14,980,347 riyal

- Net Profit is 24,637,572 riyal

- Issued Units 57,240,000 units

- Net Asset Value Per Unit 10.29 riyal

-YTD Change 4.3 %

Please visit the link Report file attachment for annual Financials