Value Traded5,269,119,323
Open10,765.62
Prev. Close10,779.96
High10,808.00
Low10,760.42
YTD 2.74 %
Transactions 392,880
Volume 226,635,724
Market Cap (Million) 3,109,043.18
Company Price Change Price Earnings
SPIMACO 32.94 8.78 % 18.44
CARE 119.70 4.27 % 17.92
JAMJOOM PHARMA 135.10 3.92 % 19.68
EIC 15.40 3.84 % 22.44
RASAN 147.20 3.81 % 32.98
Company Price Change Price Earnings
MUSHARAKA REIT 3.20 (6.43 %) NEG
TAKWEEN 4.00 (5.44 %) NEG
ARMAH 64.20 (5.03 %) 35.87
LADUN 1.80 (4.76 %) NEG
ALANDALUS 13.85 (4.15 %) More than 100
Company Last Price Volume
SAUDI ARAMCO 25.56 12,046,935
MAHARAH 4.34 8,882,233
ALINMA 24.99 8,712,603
AMERICANA 2.43 8,106,337
APC 5.46 7,174,699
Company Last Price Turnover
ALRAJHI 66.00 438,143,428
SAUDI ARAMCO 25.56 308,268,551
ALINMA 24.99 217,122,375
SNB 40.16 183,913,761
SABIC AGRI-NUTRIENTS 127.00 169,784,486

Analyst Recommendations

Date Company Research Firm Rating
16/09/2026 SAL GIB Capital Overweight
16/09/2026 ATAA U-Capital Under Review
15/09/2026 RIBL Sico Neutral
13/09/2026 SMASCO GIB Capital Overweight
10/09/2026 ELM GIB Capital Overweight

Major Shareholder Changes

Company / Shareholder Current Holding Prev. Holding Change Note
Saudi Industrial Export Co.
Adel abdallah nasser alaadjlan
12.25% 11.41% 0.84%
Arabian Cement Co.
A.A.S for Investment Co.
10.00% 9.91% 0.09%
AYYAN Investment Co.
Khalid Saleh Al-Shithry
8.01% 7.94% 0.07%
Fitaihi Holding Group
Ahmed Hassan Ahmed Fetaihi
28.47% 28.43% 0.04%

Calendar

Company Event
BHGE Reports
Fund NAV YTD Return
SNB Capital Emerging Markets Index Fund 225,231,982.00 43.50%
SEDCO Capital Global Technology Equity Feeder Fund 1,401,585.00 24.65%
ALINMA EMERGING MARKETS FUND 94,030,133.00 23.61%
SNB Capital Global Equity Fund 8,485,783.00 17.20%
Al-Rajhi Global Equity Fund 108,770,749.00 16.87%
Alkhabeer Growth and Income Fund 392,285,000.00 16.85%
MEFIC Saudi Freestyle Equity Fund 19,647,073.00 15.96%
SNB Capital North America Index Fund 1,135,738,217.00 15.38%
AlJazira Japanese Equities Fund 51,656,319.00 13.03%
SNB Capital Asia Pacific Index Fund 122,717,267.00 12.98%