QE INDEX ETF DISCLOSES ITS FINANCIAL STATEMENTS AS AT AND FOR THE PERIOD FROM 01 JANUARY 2022 TO 31 March 2022

QE Index ETF disclosed its financial statements as at and for the period ending 31 March 2022. The statements show that the net asset value as of 31 March 2022 amounted to QAR 552,455,450 representing QAR 13.586 per unit. In addition, QE Index ETF distributed dividends during the second quarter of 2022.



Click here to download attachment