Value Traded1,559,134,430
Open10,582.37
Prev. Close10,591.13
High10,596.56
Low10,529.05
YTD (12.17 %)
Transactions 122,819
Volume 79,968,128
Market Cap (Million) 3,002,353.82
Company Price Change Price Earnings
ALISTITHMAR REIT 7.36 7.92 % -
SEERA 23.26 5.54 % NEG
FLYNAS 79.70 3.10 % -
JABAL OMAR 19.28 2.66 % 20.06
MASAR 22.22 2.59 % 48.43
Company Price Change Price Earnings
SPCC 27.45 (5.02 %) 18.44
TAWUNIYA 141.40 (2.48 %) 19.59
SISCO HOLDING 26.10 (2.25 %) 47.34
ATAA 60.00 (1.96 %) 34.42
LEEJAM SPORTS 117.40 (1.84 %) 14.16
Company Last Price Volume
AMERICANA 1.97 18,583,549
ALBAHA 3.16 4,106,341
FLYNAS 79.70 4,092,880
CHEMICAL 6.50 3,749,684
SAUDI ARAMCO 24.72 3,297,488
Company Last Price Turnover
FLYNAS 79.70 325,734,401
SAUDI ARAMCO 24.72 81,514,148
ALRAJHI 91.30 57,575,076
SNB 34.05 51,585,179
JABAL OMAR 19.28 45,730,874

Analyst Recommendations

Date Company Research Firm Rating
19/06/2025 SMASCO GIB Capital Neutral
18/06/2025 FLYNAS GIB Capital Overweight
18/06/2025 YC United Securities Company Hold
18/06/2025 SAUDI CEMENT United Securities Company Hold
18/06/2025 SPCC United Securities Company Hold

Major Shareholder Changes

Company / Shareholder Current Holding Prev. Holding Change Note
Arabian Pipes Co.
Said Abdurahman Saad Alyamani
6.45% 6.33% 0.12%
SICO Saudi REIT Fund
Abdulaziz Abdullah Muhammed Al Humaid
28.11% 28.06% 0.05%
Alkhabeer Growth and Income Traded Fund
Bayader Investment CO
11.98% 11.94% 0.04%
Professional Medical Expertise Co.
Al Omran Holding
43.62% 43.65% (0.03%)

Calendar

Fund NAV YTD Return
YAQEEN Gold Fund 2,705,085.00 27.17%
SNB Capital China Equity Fund 6,875,491.00 15.14%
AlJazira European Equities Fund 46,194,490.00 14.55%
SAB Invest China and India Equity Freestyle Fund 17,537,140.00 13.81%
SNB Capital Europe Index Fund 140,989,190.00 12.46%
SNB CAPITAL GLODAL REITS FUND 18,302,382.00 7.65%
ALINMA EMERGING MARKETS FUND 54,145,017.00 6.55%
SNB Capital Global Equity Fund 4,018,216.00 5.73%
KSB Real Estate Opportunity Fund 11,107,410.00 5.38%
SNB Capital Emerging Markets Index Fund 98,137,741.00 5.15%