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SAIBANK Al Rabeh Fund
Date
Nav per share (EGB)
YTD
2021/03/02
205.44
1.29 %


Fund Annual Performance

Fund Information
Fund Name
SAIBANK Al Rabeh Fund
Type
Balanced Fund
Inception Date
1904-03-01
Base Currency
EGB

Fund Publications
 

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Last updated on February 27, 2017