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Fund Prices

The price list below is a price guide of the actual mutual fund prices updated on its value date according to mutual fund terms and condition.

RcFundPricesWeb

CODE NAME DATE LATEST NAV CCY PREVIOUS NAV YTD

MONEY MARKET FUNDS

003 Riyad USD Trade Fund 07/02/2025 6.732122 USD 6.731588 3.37 %
015 Riyad SAR Trade Fund 07/02/2025 2495.589802 SAR 2495.425046 2.83 %
00109 9-Riyad SAR Liquidity Fund 07/02/2025 10.359036 SAR 10.357535 5.24 %
00107 7-Riyad Financinf Fund IV-Tamweel Al Oula 07/01/2025 10.082275 SAR 10.318138 -2.28 %
00100 Riyad Monthly Distibutions Fund 06/30/2025 10.026984 SAR 10.002737 0.02 %

LOCAL EQUITY FUNDS

014 Riyad Saudi Equity Fund 07/02/2025 37.443644 SAR 37.375566 -1.57 %
016 Riyad Saudi Equity Sharia Fund 07/02/2025 17.544552 SAR 17.508522 -3.18 %
025 Riyad Balanced Income Fund 07/02/2025 28.099171 SAR 28.028134 0.19 %
027 Riyad Blue Chip Equity Fund 07/02/2025 107.086738 SAR 106.884368 -.35 %
099 Riyad Multi-Asset Opportunities Fund 08/06/2023 10 SAR 0 %
024 Riyad Emaar Fund 07/02/2025 26.691705 SAR 26.831775 1.92 %
017 Riyad Income Fund 07/02/2025 9.553592 SAR 9.527011 -5.16 %
079 Riyad Opportunities Fund 06/30/2025 16.855433 SAR 16.715547 -3.48 %
098 Riyad Sharia Opportunities Fund 06/30/2025 9.471182 SAR 9.416778 -7.79 %
049 Riyad Small and Medium Cap Fund 07/02/2025 53.71268 SAR 53.581094 -4.42 %

INTERNATIONAL EQUITY FUNDS

019 Riyad Global Equity Sharia Fund 07/01/2025 42.210804 USD 42.114111 4.44 %
050 Riyad Emerging Markets Equity Fund 11/25/2024 14.520381 USD 14.520381 1.12 %
048 Riyad Gulf Equity Fund (ex-saudi 07/01/2025 17.078325 SAR 17.171923 10.19 %
035 Riyad American Equity Fund 07/01/2025 163.606271 USD 163.729554 1.11 %

LOCAL FIXED INCOME FUNDS

020 Riyad SAR Diversified Trade Fund 07/02/2025 1851.657172 SAR 1851.592323 1.67 %
022 Riyad USD Diversified Trade Fund 07/02/2025 30.192377 USD 30.19117 2 %
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 06/30/2025 10.096621 SAR 10.122384 -.32 %
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 07/02/2025 1851.657172 SAR 1851.592323 1.67 %
022 Riyad USD Diversified Trade Fund 07/02/2025 30.192377 USD 30.19117 2 %
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 06/30/2025 10.096621 SAR 10.122384 -.32 %
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 07/02/2025 1851.657172 SAR 1851.592323 1.67 %
022 Riyad USD Diversified Trade Fund 07/02/2025 30.192377 USD 30.19117 2 %
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 06/30/2025 10.096621 SAR 10.122384 -.32 %
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 07/01/2025 38.097227 SAR 38.09879 4.96 %
031 Riyad Al Shujaa Fund 07/01/2025 32.342072 SAR 32.332764 4.43 %
032 Riyad Al Mutawazen Fund 07/01/2025 28.277571 SAR 28.266068 3.9 %
033 Riyad Al Mutahafedh Fund 07/01/2025 18.178079 SAR 18.171649 2.86 %
00110 Riyad Monthly Distributions Multi Asset Fund 06/30/2025 9.659597 SAR 9.625793 -3.4 %
041 Riyad Al Shujaa Sharia Fund 07/01/2025 38.530266 SAR 38.611877 2.29 %
042 Riyad Al Mutawazen Sharia Fund 07/01/2025 31.638681 SAR 31.679906 2.51 %
043 Riyad Al Mutahafedh Sharia Fund 07/01/2025 17.883418 SAR 17.885392 2.27 %
040 Riyad Al Jarei Sharia Fund 07/01/2025 44.858968 SAR 44.993143 1.68 %

Funds Subscriptions during the Initial Offer Period

00112 2- Riyad Pre IPO Opportunities Fund 1 (ninja 03/11/2025 10 SAR 10 0 %

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