Value Traded1,132,050,517
Open10,526.99
Prev. Close10,526.09
High10,528.27
Low10,435.49
YTD (13.25 %)
Transactions 115,737
Volume 63,712,812
Market Cap (Million) 3,033,110.30
Company Price Change Price Earnings
FLYNAS 64.00 4.92 % NEG
SAUDI CABLE 151.10 4.50 % 9.44
AMAK 87.75 4.46 % 31.55
CHEMANOL 7.53 1.62 % NEG
RAOOM 62.00 1.56 % 73.04
Company Price Change Price Earnings
CGS 9.05 (5.73 %) -
WAFRAH 19.86 (5.43 %) NEG
SAICO 10.88 (4.98 %) 6.88
LEEJAM SPORTS 96.00 (4.76 %) 15.27
CHUBB 19.18 (4.48 %) 59.29
Company Last Price Volume
AMERICANA 1.63 9,963,319
SIECO 2.13 3,128,272
SAUDI ARAMCO 23.58 2,834,780
BATIC 1.92 2,683,322
CHEMICAL 6.13 2,617,713
Company Last Price Turnover
SAUDI ARAMCO 23.59 67,956,615
ALRAJHI 96.30 45,152,732
STC 42.62 42,489,271
ELM 718.50 30,410,911
ALINMA 24.26 26,568,040

Analyst Recommendations

Date Company Research Firm Rating
22/12/2025 RETAL Al Rajhi Capital Overweight
22/12/2025 JAHEZ SFC Buy
22/12/2025 MEPCO EFG-Hermes Neutral
22/12/2025 SABIC AGRI-NUTRIENTS EFG-Hermes Neutral
21/12/2025 ADES GIB Capital Overweight

Major Shareholder Changes

Company / Shareholder Current Holding Prev. Holding Change Note
Emaar The Economic City
Public Investment Fund.
55.55% 25.00% 30.55%
Alwasail Industrial Co.
Abdulaziz Saleh Soliman El-Amry
7.05% 7.04% 0.01%
Emaar The Economic City
Dayim Modern Real Estate Management Company
7.06% 11.91% (4.85%)
Emaar The Economic City
MI Royal Capital Company
Less than 5 % 7.06% -

Calendar

Company Event
QACCO Cash Dividend Distribution
ENAYA Conferences
Fund NAV YTD Return
YAQEEN Gold Fund 3,200,623.00 62.51%
SNB Capital China Equity Fund 9,605,877.00 29.52%
SNB Capital Emerging Markets Index Fund 129,920,713.00 28.67%
ALINMA EMERGING MARKETS FUND 55,458,779.00 22.88%
SNB Capital Global Equity Fund 5,455,280.00 20.93%
SNB Capital Global Healthcare Fund 49,513,675.00 20.92%
SNB Capital Europe Index Fund 169,278,362.00 20.16%
AlJazira European Equities Fund 45,957,642.00 19.41%
AlJazira International Equities Fund 135,639,481.00 19.05%
SAB Invest Global Equity Index Fund 47,074,051.00 18.62%