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Fund News

Daily NAV as (16 May 2018)
May 17, 2018 - 12:56PM

HPF

 

 

Date

 

NAV

16/05/2018

OMR

0.995

15/05/2018

OMR

0.995

14/05/2018

OMR

0.996

13/05/2018

OMR

0.996

10/05/2018

OMR

0.996

09/05/2018

OMR

0.996

08/05/2018

OMR

0.996

07/05/2018

OMR

0.997

06/05/2018

OMR

0.998

03/05/2018

OMR

0.998

02/05/2018

OMR

0.997

01/05/2018

OMR

0.997