Value Traded3,834,752,748
Open10,957.60
Prev. Close11,007.27
High10,957.60
Low10,860.16
YTD 3.56 %
Transactions 378,731
Volume 187,138,404
Market Cap (Million) 3,140,856.65
Company Price Change Price Earnings
ARMAH 71.85 9.95 % 40.15
ARDCO 16.75 5.68 % 13.18
SAUDI RE 28.82 3.67 % 22.91
SASCO 45.62 3.40 % 50.36
FAKEEH CARE 39.44 2.55 % 39.41
Company Price Change Price Earnings
LUBEREF 127.30 (9.97 %) 15.56
KEC 18.88 (5.08 %) NEG
ACIG 7.85 (4.96 %) NEG
ALARABIA 58.30 (4.89 %) NEG
YANSAB 32.80 (4.82 %) 63.42
Company Last Price Volume
AMERICANA 2.41 13,370,324
PETRO RABIGH 17.62 12,567,379
SAUDI ARAMCO 25.72 7,258,821
APC 5.45 7,037,798
BATIC 1.94 6,119,728
Company Last Price Turnover
ALRAJHI 65.20 304,889,252
PETRO RABIGH 17.62 216,866,874
SAUDI ARAMCO 25.72 187,746,525
LUBEREF 127.30 168,192,500
SAUDI RE 28.82 148,028,099

Analyst Recommendations

Date Company Research Firm Rating
13/09/2026 SMASCO GIB Capital Overweight
10/09/2026 ELM GIB Capital Overweight
10/09/2026 YC Alinma Capital Buy
10/09/2026 ALAKARIA Alinma Capital Buy
10/09/2026 AMAK BSF Capital Buy

Major Shareholder Changes

Company / Shareholder Current Holding Prev. Holding Change Note
Al Jouf Cement Co.
Ali Suleiman Mohammed Al-Rashid
6.96% 6.86% 0.10%
Arabian Cement Co.
A.A.S for Investment Co.
9.53% 9.49% 0.04%
Saudi Industrial Export Co.
Adel abdallah nasser alaadjlan
10.46% 10.43% 0.03%
Saudi Automotive Services Co.
Nahaz Trading Investment Company
9.57% 9.55% 0.02%

Calendar

Company Event
NASEEJ IPO/ Subscription
RIYADH CEMENT Ex-dividend Date
CATRION Cash Dividend Distribution
Fund NAV YTD Return
SNB Capital Emerging Markets Index Fund 237,216,602.00 51.68%
SEDCO Capital Global Technology Equity Feeder Fund 1,426,643.00 27.58%
ALINMA EMERGING MARKETS FUND 95,888,531.00 26.07%
SNB Capital Global Equity Fund 8,749,982.00 20.30%
Al-Rajhi Global Equity Fund 109,503,282.00 17.61%
MEFIC Saudi Freestyle Equity Fund 19,226,816.00 17.09%
Alkhabeer Growth and Income Fund 392,285,000.00 16.85%
SNB Capital Asia Pacific Index Fund 125,896,744.00 16.11%
SNB Capital North America Index Fund 1,132,432,589.00 16.09%
SNB Multi-Asset Growth Fund 824,217,883.00 14.99%