Quarterly Actuals vs Estimates

Rundown of Mulkia REIT's occupancy in Q2 2025

Value Traded4,925,502,419
Open10,996.53
Prev. Close10,983.93
High11,013.18
Low10,921.20
YTD (9.06 %)
Transactions 507,428
Volume 535,589,144
Market Cap (Million) 3,168,760.02
Company Price Change Price Earnings
AZM 29.14 9.96 % 49.37
NORTHERN CEMENT 8.11 6.29 % 25.61
OBEIKAN GLASS 37.00 6.20 % NEG
HERFY FOODS 25.22 4.34 % NEG
MAADANIYAH 17.60 3.90 % NEG
Company Price Change Price Earnings
SPORT CLUBS 10.22 (7.34 %) 31.20
GULF UNION ALAHLIA 14.22 (4.56 %) NEG
CARE 164.80 (3.51 %) 24.45
SHL 22.98 (3.36 %) 51.03
ADVANCED 31.90 (3.33 %) NEG
Company Last Price Volume
TECO 1.11 287,712,928
SPORT CLUBS 10.22 69,706,408
SAUDI ARAMCO 24.03 17,899,492
ALINMA 25.82 10,359,548
AMERICANA 2.21 10,176,913
Company Last Price Turnover
SPORT CLUBS 10.22 775,980,118
SAUDI ARAMCO 24.03 430,943,808
TECO 1.11 317,297,107
ALINMA 25.82 267,688,857
ALRAJHI 95.30 209,086,130

Analyst Recommendations

Date Company Research Firm Rating
24/07/2025 ALRAJHI U-Capital Under Review
24/07/2025 SAB U-Capital Aggregate
23/07/2025 SNB U-Capital Buy
23/07/2025 BSF SNB Capital Neutral
23/07/2025 TAIBA SNB Capital Overweight

Major Shareholder Changes

Company / Shareholder Current Holding Prev. Holding Change Note
Al-Jouf Agricultural Development Co.
Riyad M. A. Al Humaidan
19.81% 19.75% 0.06%
Knowledge Tower Trading Co.
Nouf H. Al-Yamani
53.72% 53.74% (0.02%)
Alinma Retail REIT Fund
Marwad Company
6.73% 6.79% (0.06%)

Calendar

Company Event
BHGE Reports
Fund NAV YTD Return
YAQEEN Gold Fund 2,781,337.00 26.44%
SNB Capital China Equity Fund 7,225,613.00 20.36%
SAB Invest China and India Equity Freestyle Fund 17,870,128.00 15.53%
Riyad Gulf Equity Fund (ex-Saudi) 164,353,590.00 14.66%
AlJazira European Equities Fund 45,033,483.00 12.65%
SNB Capital Europe Index Fund 140,476,517.00 11.59%
ALINMA EMERGING MARKETS FUND 54,868,812.00 11.55%
SNB Capital Global Equity Fund 4,285,623.00 10.62%
SNB Capital Emerging Markets Index Fund 102,697,835.00 10.20%
GIB OPPORTUNISTIC MENA EQUITY FUND - CLASS (C) 93,711,132.00 10.17%