CODE |
NAME |
DATE |
LATEST NAV |
CCY |
PREVIOUS NAV |
YTD |
MONEY MARKET FUNDS
003 |
Riyad USD Trade Fund |
07/20/2025 |
6.743215 |
USD |
6.741317 |
3.37 % |
015 |
Riyad SAR Trade Fund |
07/20/2025 |
2498.573557 |
SAR |
2498.042239 |
2.79 % |
00109 |
9-Riyad SAR Liquidity Fund |
07/20/2025 |
10.386152 |
SAR |
10.381631 |
5.26 % |
00107 |
7-Riyad Financinf Fund IV-Tamweel Al Oula |
07/01/2025 |
10.082275 |
SAR |
10.318138 |
-2.28 % |
00100 |
Riyad Monthly Distibutions Fund |
07/18/2025 |
10.002796 |
SAR |
10.026984 |
-.22 % |
LOCAL EQUITY FUNDS
014 |
Riyad Saudi Equity Fund |
07/20/2025 |
36.656004 |
SAR |
36.800689 |
-3.64 % |
016 |
Riyad Saudi Equity Sharia Fund |
07/20/2025 |
17.190137 |
SAR |
17.240689 |
-5.14 % |
025 |
Riyad Balanced Income Fund |
07/20/2025 |
27.711547 |
SAR |
27.824163 |
-1.19 % |
027 |
Riyad Blue Chip Equity Fund |
07/20/2025 |
104.908828 |
SAR |
105.316864 |
-2.37 % |
099 |
Riyad Multi-Asset Opportunities Fund |
08/06/2023 |
10 |
SAR |
|
0 % |
024 |
Riyad Emaar Fund |
07/20/2025 |
26.51862 |
SAR |
26.713858 |
1.26 % |
017 |
Riyad Income Fund |
07/20/2025 |
9.367194 |
SAR |
9.413828 |
-7.01 % |
079 |
Riyad Opportunities Fund |
07/17/2025 |
16.557832 |
SAR |
16.822798 |
-5.18 % |
098 |
Riyad Sharia Opportunities Fund |
07/17/2025 |
9.275169 |
SAR |
9.434525 |
-9.7 % |
049 |
Riyad Small and Medium Cap Fund |
07/20/2025 |
52.034881 |
SAR |
52.225904 |
-7.41 % |
INTERNATIONAL EQUITY FUNDS
019 |
Riyad Global Equity Sharia Fund |
07/16/2025 |
42.559019 |
USD |
42.654896 |
5.3 % |
050 |
Riyad Emerging Markets Equity Fund |
11/25/2024 |
14.520381 |
USD |
14.520381 |
1.12 % |
048 |
Riyad Gulf Equity Fund (ex-saudi |
07/20/2025 |
17.784576 |
SAR |
17.750967 |
14.74 % |
035 |
Riyad American Equity Fund |
07/16/2025 |
165.688809 |
USD |
165.300129 |
2.39 % |
LOCAL FIXED INCOME FUNDS
020 |
Riyad SAR Diversified Trade Fund |
07/20/2025 |
1852.86987 |
SAR |
1852.620706 |
1.64 % |
022 |
Riyad USD Diversified Trade Fund |
07/20/2025 |
30.217977 |
USD |
30.213418 |
1.98 % |
073 |
Riyad Financing Fund |
06/30/2025 |
10.227081 |
SAR |
10.192117 |
0.21 % |
00104 |
4-Riyad Fixed Income Fund II |
06/30/2025 |
10.202495 |
SAR |
10.136312 |
1.93 % |
096 |
Riyad Financing Fund III |
07/10/2025 |
10.030323 |
SAR |
10.096621 |
-.97 % |
00114 |
4-Riyad Fixed Income Fund IV |
06/30/2025 |
10.038779 |
SAR |
10.002446 |
0.39 % |
088 |
Riyad Financing Fund 2 |
06/30/2025 |
10.00735 |
SAR |
10.235194 |
-2.03 % |
LOCAL FIXED INCOME FUNDS
020 |
Riyad SAR Diversified Trade Fund |
07/20/2025 |
1852.86987 |
SAR |
1852.620706 |
1.64 % |
022 |
Riyad USD Diversified Trade Fund |
07/20/2025 |
30.217977 |
USD |
30.213418 |
1.98 % |
073 |
Riyad Financing Fund |
06/30/2025 |
10.227081 |
SAR |
10.192117 |
0.21 % |
00104 |
4-Riyad Fixed Income Fund II |
06/30/2025 |
10.202495 |
SAR |
10.136312 |
1.93 % |
096 |
Riyad Financing Fund III |
07/10/2025 |
10.030323 |
SAR |
10.096621 |
-.97 % |
00114 |
4-Riyad Fixed Income Fund IV |
06/30/2025 |
10.038779 |
SAR |
10.002446 |
0.39 % |
088 |
Riyad Financing Fund 2 |
06/30/2025 |
10.00735 |
SAR |
10.235194 |
-2.03 % |
LOCAL FIXED INCOME FUNDS
020 |
Riyad SAR Diversified Trade Fund |
07/20/2025 |
1852.86987 |
SAR |
1852.620706 |
1.64 % |
022 |
Riyad USD Diversified Trade Fund |
07/20/2025 |
30.217977 |
USD |
30.213418 |
1.98 % |
073 |
Riyad Financing Fund |
06/30/2025 |
10.227081 |
SAR |
10.192117 |
0.21 % |
00104 |
4-Riyad Fixed Income Fund II |
06/30/2025 |
10.202495 |
SAR |
10.136312 |
1.93 % |
096 |
Riyad Financing Fund III |
07/10/2025 |
10.030323 |
SAR |
10.096621 |
-.97 % |
00114 |
4-Riyad Fixed Income Fund IV |
06/30/2025 |
10.038779 |
SAR |
10.002446 |
0.39 % |
088 |
Riyad Financing Fund 2 |
06/30/2025 |
10.00735 |
SAR |
10.235194 |
-2.03 % |
MULTI ASSET FUNDS
030 |
Riyad Al Jarei Fund |
07/17/2025 |
38.149316 |
SAR |
38.035718 |
5.11 % |
031 |
Riyad Al Shujaa Fund |
07/17/2025 |
32.326711 |
SAR |
32.250677 |
4.38 % |
032 |
Riyad Al Mutawazen Fund |
07/17/2025 |
28.259174 |
SAR |
28.213595 |
3.83 % |
033 |
Riyad Al Mutahafedh Fund |
07/17/2025 |
18.187545 |
SAR |
18.177988 |
2.91 % |
00110 |
Riyad Monthly Distributions Multi Asset Fund |
07/17/2025 |
9.520348 |
SAR |
9.600761 |
-4.8 % |
041 |
Riyad Al Shujaa Sharia Fund |
07/17/2025 |
38.770326 |
SAR |
38.6498 |
2.92 % |
042 |
Riyad Al Mutawazen Sharia Fund |
07/17/2025 |
31.774693 |
SAR |
31.704691 |
2.95 % |
043 |
Riyad Al Mutahafedh Sharia Fund |
07/17/2025 |
17.918956 |
SAR |
17.905724 |
2.48 % |
040 |
Riyad Al Jarei Sharia Fund |
07/17/2025 |
45.248356 |
SAR |
45.069765 |
2.56 % |
Funds Subscriptions during the Initial Offer Period
00112 |
2- Riyad Pre IPO Opportunities Fund 1 (ninja |
03/11/2025 |
10 |
SAR |
10 |
0 % |