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Daily Net Asset Value / NAV

FINCORP FINC 155.26% 0.10 0.06

Title:

Daily Net Asset Value / NAV FINCORP AL-AMAL FUND

Content: 

FINCORP AL-AMAL FUND NAV

 Date  NAV
 22/07/2026  1.200
AIGI-23072026-31

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