Mubasher TV
Contact Us Advertising   العربية

Daily Net Asset Value / NAV

FINCORP FINC 136.84% 0.09 0.05

Title:

Daily Net Asset Value / NAV FINCORP AL-AMAL FUND

Content: 

FINCORP AL-AMAL FUND NAV

 Date  NAV
 20/04/2026  1.262
AIGI-21042026-42

Comments