Everything You Need, In One Trusted Place
The Investor Relations hub gives you the Fund's unit price, financial reports, and official disclosures.
Every document here is published directly by the Fund, so you can rely on accurate, up-to-date information.
Unit Price & MSX Information
The Pearl REIF trades on the Muscat Stock Exchange under the ticker PRFD.
- Exchange
- Muscat Stock Exchange
- Listed
- 14 Nov 2022
PRFD0.192 OMR
Δ +0.002 OMR · +1.05%
| Timestamp | Price (OMR) |
|---|---|
| 2026-08-20T10:00:00+04:00 | 0.19 |
| 2026-08-20T11:00:00+04:00 | 0.191 |
| 2026-08-20T14:30:00+04:00 | 0.192 |
Performance Review
Compare the Fund's rental income, net profit, investment property value, and dividend performance across reporting periods.
Rental Income
| Period | Value |
|---|---|
| 2022 | OMR 3,651,973 |
| 2023 | OMR 7,922,378 |
| 2024 | OMR 8,461,029 |
| 2025 | OMR 10,387,912 |
Financial Reports
Access the Fund's annual and quarterly financial statements and results.
Fund Documents
Read the Fund's IPO prospectus and its latest fact sheets for a concise summary of the portfolio, strategy, and key metrics.
Dividends & Distribution History
The Pearl REIF distributes income to unitholders on a semi-annual basis, with distributions typically made in March and September. Valuations are conducted annually, giving investors a clear, predictable rhythm to the Fund's payouts.
OMR 0.005 per unit
OMR 0.0055 per unit
OMR 0.00578 per unit
OMR 0.0055 per unit
Distribution pending
Distribution pending
OMR 0.005 per unit
OMR 0.0055 per unit
OMR 0.00578 per unit
OMR 0.0055 per unit
Distribution pending
Distribution pending
Common Questions





