WarbaBank

Clear Search
Fraud incidents
Net Asset Value (NAV)
KD 1.109896
(As of 23June 2026)
Fund Facts
Fund structureOpen-ended
Currency Kuwaiti Dinar
LiquidityWeekly
Minimum subscriptionKD1,000 and increments of KD1 thereafter
Subscription feesNone
Redemption feesNone

 

 

 

 

Fund Performance
Annualized 1 Week Return3.700%
Annualized 1 Month Return3.713%
Annualized YTD Return3.738%
Tools