Musharaka Financial Company announces the availability of the reviewed preliminary financial statements of Musharaka REIT Fund for the period ending on June 30, 2022 to the public
25 August 2022

Musharaka Financial Company announces the availability of the reviewed preliminary financial statements for the Musharaka REIT Fund for the period ending June 30, 2022. Below is a summary of the key financial results:
- Net Assets (Total Assets) at the End of the Period: SAR 845,292,143
- Total Expenses & Fees for the Period: SAR 24,398,027
- Net Profit for the Period: SAR 12,922,543
- Total Outstanding Units at the End of the Period: 88,000,000 units
- Net Asset Value (NAV) per Unit: SAR 9.61
- Return for the Period: 3.0%
You can view the full report in the financial reports section on the fund’s webpage.