ENBD REIT announces Q3 Net Asset Value at 31 December 2022

ENBD REIT, the Shari’a compliant real estate investment trust managed by Emirates NBD Asset Management Limited, has announced its Net Asset Value (NAV) at 31 December 2022. ENBD REIT’s NAV amounted to US$173 million (US$ 0.69 per share), up from US$168 million at 31st December, 2021. This reflects the...