Beirut Preferred Fund II Net Asset Value: USD 210.52 Date: November 13th, 2024 Next Dealing Day: December 03rd, 2024 More
Optimal Investment Fund Net Asset Value: LBP 111,159.71 Date: November 13th, 2024 Next Dealing Day: December 03rd, 2024 More
BoB LBP Growth Fund Net Asset Value : Class A: LBP 156,437.60 Class B: LBP 90,519.75 Date: November 13th, 2024 Next Dealing Day: December 03rd, 2024 More