Fund Name | Fund Classification | Geographic Focus | Currency | Unit Price | Net Asset Value | Valuation Date |
---|---|---|---|---|---|---|
Equity
|
GCC
|
Riyal
|
11.40
|
64,567,482.74
|
12/02/2025
|
|
Equity
|
Saudi Arabia
|
Riyal
|
11.32
|
22,971,893.48
|
12/02/2025
|
|
Equity
|
Saudi Arabia
|
Riyal
|
24.63
|
325,350,713.52
|
13/02/2025
|
|
Mixed Assets
|
Worldwide
|
Riyal
|
30.30
|
6,219,554.28
|
22/12/2024
|
|
Equity
|
Saudi Arabia
|
Riyal
|
17.52
|
120,126,400.86
|
12/02/2025
|
|
Equity
|
Saudi Arabia
|
Riyal
|
16.01
|
202,477,958.73
|
16/02/2025
|
|
Equity
|
Saudi Arabia
|
Riyal
|
23.91
|
221,774,083.32
|
12/02/2025
|
|
Money Market
|
Saudi Arabia
|
Riyal
|
25.13
|
2,504,653,506.79
|
13/02/2025
|
|
Equity
|
Saudi Arabia
|
Riyal
|
261.29
|
142,817,855.32
|
12/02/2025
|
|
Equity
|
Saudi Arabia
|
Riyal
|
284.07
|
167,808,758.74
|
12/02/2025
|
|
Sukuk
|
Saudi Arabia
|
Riyal
|
9.49
|
44,275,074.97
|
12/02/2025
|
|
Money Market
|
Saudi Arabia
|
USD
|
21.77
|
7,491,352.40
|
13/02/2025
|
Fund Name | Unit Price | Date | Change (1M) | Change (3M) | Change (12M) | Change (3Y) | Change (5Y) | YTD | Change Since Inception |
---|---|---|---|---|---|---|---|---|---|
16.01
|
16/02/2025
|
4.01 %
|
9.19 %
|
14.49 %
|
-
|
-
|
8.83 %
|
60.35 %
|
|
24.63
|
13/02/2025
|
3.17 %
|
7.52 %
|
20.56 %
|
107.04 %
|
210.93 %
|
6.64 %
|
146.30 %
|
|
25.13
|
13/02/2025
|
0.44 %
|
1.34 %
|
5.70 %
|
14.81 %
|
16.91 %
|
0.65 %
|
151.30 %
|
|
21.77
|
13/02/2025
|
0.39 %
|
1.12 %
|
5.25 %
|
13.08 %
|
13.84 %
|
0.56 %
|
117.66 %
|
|
11.40
|
12/02/2025
|
4.22 %
|
7.42 %
|
-
|
-
|
-
|
7.22 %
|
14.24 %
|
|
11.32
|
12/02/2025
|
4.04 %
|
5.13 %
|
14.25 %
|
-
|
-
|
3.41 %
|
13.05 %
|
|
17.52
|
12/02/2025
|
5.02 %
|
8.88 %
|
17.64 %
|
-
|
-
|
8.58 %
|
76.23 %
|
|
23.91
|
12/02/2025
|
2.85 %
|
6.30 %
|
9.25 %
|
55.37 %
|
183.26 %
|
7.20 %
|
139.11 %
|
|
261.29
|
12/02/2025
|
3.38 %
|
7.38 %
|
14.65 %
|
47.40 %
|
151.62 %
|
7.11 %
|
2,512.93 %
|
|
284.07
|
12/02/2025
|
3.13 %
|
6.78 %
|
13.39 %
|
53.19 %
|
170.30 %
|
7.72 %
|
2,740.69 %
|
|
9.49
|
12/02/2025
|
0.50 %
|
1.41 %
|
5.91 %
|
(0.87 %)
|
(5.10 %)
|
0.38 %
|
(5.10 %)
|
|
30.30
|
22/12/2024
|
0.84 %
|
(0.09 %)
|
13.15 %
|
38.45 %
|
70.64 %
|
- |
202.95 %
|
Fund Name | Management Fee | Subscription Fee | Redemption Fee | Performance Fee | Custodian Fee |
---|---|---|---|---|---|
1.75 |
2.00 |
- |
- |
0.03 |
|
1.75 |
2.00 |
- |
- |
0.00 |
|
1.50 |
2.00 |
0.25 |
- |
0.01 |
|
0.00 |
2.00 |
0.25 |
0.00 |
0.03 |
|
1.75 |
2.00 |
- |
- |
0.00 |
|
1.75 |
2.00 |
- |
- |
0.00 |
|
1.75 |
2.00 |
0.25 |
0.00 |
0.01 |
|
0.20 |
0.00 |
0.00 |
0.00 |
0.01 |
|
1.75 |
2.00 |
0.25 |
0.00 |
0.01 |
|
1.75 |
2.00 |
0.25 |
0.00 |
0.01 |
|
0.20 |
- |
- |
- |
0.02 |
|
0.20 |
0.00 |
0.00 |
0.00 |
0.01 |
No data available |
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