Company | Price | Change | Price Earnings |
---|---|---|---|
RETAL | 12.00 | 3.36 % | 21.83 |
NASEEJ | 73.20 | 2.88 % | NEG |
YAQEEN 30 ETF | 49.98 | 2.50 % | - |
CHUBB | 41.38 | 2.27 % | More than 100 |
SABI HK ETF | 12.86 | 1.98 % | - |
Company | Last Price | Volume |
---|---|---|
AMERICANA | 2.07 | 1,833,609 |
RETAL | 12.00 | 246,787 |
PETRO RABIGH | 8.63 | 237,305 |
SAUDI ARAMCO | 24.81 | 145,442 |
TECO | 0.92 | 124,113 |
Date | Company | Research Firm | Rating |
|
SABIC AGRI-NUTRIENTS | Morgan Stanley International | Overweight |
|
SIPCHEM | Morgan Stanley International | Overweight |
|
ADVANCED | Morgan Stanley International | Underweight |
|
SAB | JP Morgan | Overweight |
|
ALDREES | JP Morgan | Overweight |
Company / Shareholder | Current Holding | Prev. Holding | Change | Note |
---|---|---|---|---|
Walaa Cooperative Insurance Co.
Khalifa Abdullatif Abdullah Al Molhem
|
5.02% | Less than 5 % | - | |
Methanol Chemicals Co.
FATIN SALEH ABDULAAZIZ AL-RAJIHI
|
6.06% | 5.94% | 0.12% | |
Nice One Beauty Digital Marketing Co.
Omar Ali Al-Alyan
|
28.15% | 28.13% | 0.02% | |
Naseej for Technology Co.
Abdullah Awad Ayed Al-Tarifi
|
6.46% | 6.47% | (0.01%) |
Company | Event |
---|---|
ALJOUF | Ex-dividend Date |
CHUBB | General Assembly |
CHUBB | Ex-dividend Date |
LUBEREF | Cash Dividend Distribution |
E.I.A | Reports |
CENOMI CENTERS | Cash Dividend Distribution |
General Authority For Statistics | Reports |
Fund | NAV | YTD Return | |
---|---|---|---|
YAQEEN Gold Fund | 3,559,105.00 | 48.46% | |
SNB Capital China Equity Fund | 10,241,145.00 | 33.45% | |
SNB Capital Emerging Markets Index Fund | 116,168,330.00 | 22.12% | |
SAB Invest China and India Equity Freestyle Fund | 19,604,850.00 | 20.84% | |
ALINMA EMERGING MARKETS FUND | 59,915,469.00 | 20.76% | |
SNB Capital Real Estate Fund | 57,934,488.00 | 16.95% | |
SNB Capital Europe Index Fund | 147,278,611.00 | 15.14% | |
AlJazira European Equities Fund | 45,202,937.00 | 15.06% | |
SNB Capital Global Equity Fund | 5,088,347.00 | 14.95% | |
SAB Invest Global Equity Index Fund | 46,701,982.00 | 14.92% |