Value Traded4,644,822,826
Open10,533.50
Prev. Close10,518.73
High10,650.39
Low10,524.57
YTD (11.52 %)
Transactions 562,834
Volume 234,281,386
Market Cap (Million) 3,085,556.68
Company Price Change Price Earnings
NGC 20.29 9.97 % NEG
MAADANIYAH 17.70 8.86 % NEG
SOLUTIONS 248.20 5.44 % 18.64
DERAYAH 26.48 4.66 % 15.41
BINDAWOOD 5.59 4.49 % 24.69
Company Price Change Price Earnings
SAUDI CABLE 138.20 (2.47 %) 10.49
LEEJAM SPORTS 138.20 (1.29 %) 16.70
RASAN 92.30 (1.28 %) 47.24
THIMAR 46.72 (1.23 %) NEG
TECO 0.91 (1.09 %) NEG
Company Last Price Volume
TECO 0.91 25,426,825
AMERICANA 1.89 22,509,317
SAUDI ARAMCO 24.10 19,756,729
ALINMA 25.04 10,750,121
CENOMI RETAIL 29.76 8,189,368
Company Last Price Turnover
SAUDI ARAMCO 24.10 470,951,068
ALINMA 25.04 265,402,414
CENOMI RETAIL 29.76 248,343,529
ALRAJHI 92.65 207,083,998
STC 42.10 135,531,810

Analyst Recommendations

Date Company Research Firm Rating
16/09/2025 KINGDOM AlphaMena Underweight
16/09/2025 SAUDI ARAMCO Morningstar Hold
16/09/2025 ALDREES SNB Capital Neutral
16/09/2025 ALMAJED OUD AlJazira Capital Overweight
16/09/2025 SGS AlJazira Capital Overweight

Major Shareholder Changes

Company / Shareholder Current Holding Prev. Holding Change Note
Fawaz Abdulaziz Alhokair Co.
Al-Futaim retail co
49.95% Less than 5 % -
United Electronics Co.
United Electronics Company
6.79% 6.76% 0.03%
Fawaz Abdulaziz Alhokair Co.
Abdelmageed Abdelaziz Fahd Al Hokair
Less than 5 % 5.45% -
Fawaz Abdulaziz Alhokair Co.
Salman Abdelaziz Fahd Al Hukair
Less than 5 % 6.84% -

Calendar

Fund NAV YTD Return
YAQEEN Gold Fund 2,788,669.00 35.18%
SNB Capital China Equity Fund 9,701,611.00 33.73%
SAB Invest China and India Equity Freestyle Fund 19,816,435.00 22.74%
SNB Capital Emerging Markets Index Fund 112,483,964.00 18.95%
ALINMA EMERGING MARKETS FUND 58,060,373.00 17.27%
SNB Capital Global Equity Fund 4,394,516.00 15.94%
Riyad Gulf Equity Fund (ex-Saudi) 163,887,141.00 13.86%
SNB Capital Europe Index Fund 143,290,743.00 13.37%
AlJazira European Equities Fund 44,693,039.00 12.84%
SNB Capital North America Index Fund 806,751,535.00 12.63%