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صافي قيمة الاصول (صندوق الأمل)

صافي قيمة الاصول
صندوق استثمار: صندوق الأمل DATE        NAV                                ADJ.NAV

01.11.11          1.072                                  1.511
02.11.11          1.071                                  1.510
03.11.11          1.074                                  1.514
12.11.11          1.075                                  1.515
13.11.11          1.076                                  1.516
14.11.11          1.075                                  1.515
15.11.11          1.069                                  1.507
16.11.11          1.067                                  1.504
17.11.11          1.066                                  1.503
19.11.11          1.065                                  1.502
20.11.11          1.060                                  1.495
21.11.11          1.051                                  1.482
22.11.11          1.045                                  1.474
23.11.11          1.044                                  1.473
24.11.11          1.047                                  1.477
29.11.11          1.045                                  1.474

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