Saudi Economic and Development Securities Company (SEDCO Capital) announces the unaudited Net Asset Value (NAV) for SEDCO Capital REIT Fund for the period ended 31 December 2019 based on the latest valuation reports published on 21 January 2020.

  • Net Asset Value (book value): SAR 559,655,747
  • Net Asset Value per unit (book value): SAR 9.33
  • Net Asset Value (fair value): SAR  586,852,108
  • Net Asset Value per unit (fair value): SAR 9.78