-+ 0.00%
-+ 0.00%
-+ 0.00%
Mefic REIT Fund Q2 NAV Per Unit Falls
Share
Listen to the news
02:48 AM EDT, 07/13/2026 (MT Newswires) -- Mefic REIT Fund (SASE:4346) on Monday reported a decrease in net asset value per unit for the second quarter. As of June 30, the real estate investment fund's NAV per unit was 6.9954 Saudi riyals, compared with 7.1753 riyals a year ago.
Disclaimer:This article represents the opinion of the author only. It does not represent the opinion of Webull, nor should it be viewed as an indication that Webull either agrees with or confirms the truthfulness or accuracy of the information. It should not be considered as investment advice from Webull or anyone else, nor should it be used as the basis of any investment decision.
What's Trending