Company | Price | Change | Price Earnings |
---|---|---|---|
RED SEA | 42.45 | 9.97 % | NEG |
SALAMA | 13.52 | 9.92 % | NEG |
SISCO HOLDING | 27.80 | 9.88 % | 50.23 |
SAUDI GERMAN HEALTH | 55.40 | 9.06 % | 13.07 |
ABO MOATI | 37.00 | 8.82 % | 30.09 |
Company | Price | Change | Price Earnings |
---|---|---|---|
SABIC AGRI-NUTRIENTS | 104.20 | (4.58 %) | 14.29 |
SAUDI ARAMCO | 24.34 | (1.62 %) | 15.25 |
TALEEM REIT | 9.30 | (0.85 %) | 14.59 |
ALISTITHMAR REIT | 8.09 | (0.37 %) | - |
SABIC | 54.80 | (0.18 %) | More than 100 |
Date | Company | Research Firm | Rating |
|
AWPT | AlJazira Capital | Overweight |
|
ALRAJHI | AlJazira Capital | Overweight |
|
HB | Hermes | Neutral |
|
SASCO | SNB Capital | Underweight |
|
SAUDI GERMAN HEALTH | AlJazira Capital | Overweight |
Company / Shareholder | Current Holding | Prev. Holding | Change | Note |
---|---|---|---|---|
Al-Jouf Agricultural Development Co.
Riyad M. A. Al Humaidan
|
19.20% | 19.03% | 0.17% | |
SICO Saudi REIT Fund
Abdulaziz Abdullah Muhammed Al Humaid
|
28.25% | 28.16% | 0.09% | |
Morabaha Marina Financing Co.
Talal Ibrahim Ali Al-Maiman
|
9.03% | 8.99% | 0.04% | |
Al Hassan Ghazi Ibrahim Shaker Co.
Tawazun Holding Company
|
8.02% | 8.18% | (0.16%) |
Company | Event |
---|---|
TADCO | General Assembly |
ALUJAIN | General Assembly |
THIMAR | General Assembly |
SRMG | General Assembly |
MAADEN | General Assembly |
THEEB | Ex-dividend Date |
SAL | Ex-dividend Date |
Fund | NAV | YTD Return | |
---|---|---|---|
YAQEEN Gold Fund | 2,500,818.00 | 26.77% | |
SNB Capital China Equity Fund | 6,804,819.00 | 13.75% | |
AlJazira European Equities Fund | 44,660,465.00 | 10.83% | |
SNB Capital Europe Index Fund | 138,331,014.00 | 10.36% | |
SAB Invest China and India Equity Freestyle Fund | 16,893,022.00 | 9.63% | |
SNB CAPITAL GLODAL REITS FUND | 18,284,776.00 | 7.53% | |
ALINMA EMERGING MARKETS FUND | 54,145,017.00 | 6.55% | |
KSB Real Estate Opportunity Fund | 11,107,410.00 | 5.38% | |
SNB Capital Global Equity Fund | 4,005,546.00 | 5.34% | |
SNB Capital Emerging Markets Index Fund | 97,204,102.00 | 4.38% |