CODE |
NAME |
DATE |
LATEST NAV |
CCY |
PREVIOUS NAV |
YTD |
MONEY MARKET FUNDS
003 |
Riyad USD Trade Fund |
10/08/2025 |
6.790983 |
USD |
6.790426 |
3.35 % |
015 |
Riyad SAR Trade Fund |
10/08/2025 |
2513.535079 |
SAR |
2513.387071 |
2.79 % |
00109 |
9-Riyad SAR Liquidity Fund |
10/08/2025 |
10.509201 |
SAR |
10.507679 |
5.34 % |
00107 |
7-Riyad Financinf Fund IV-Tamweel Al Oula |
10/01/2025 |
10.099094 |
SAR |
10.273139 |
-2.12 % |
00100 |
Riyad Monthly Distributions Fund |
08/31/2025 |
10.031139 |
SAR |
10.029062 |
0.07 % |
LOCAL EQUITY FUNDS
014 |
Riyad Saudi Equity Fund |
10/08/2025 |
39.396323 |
SAR |
39.424246 |
3.57 % |
016 |
Riyad Saudi Equity Sharia Fund |
10/08/2025 |
18.55976 |
SAR |
18.592518 |
2.42 % |
025 |
Riyad Balanced Income Fund |
10/08/2025 |
28.544308 |
SAR |
28.576468 |
1.78 % |
027 |
Riyad Blue Chip Equity Fund |
10/08/2025 |
113.379798 |
SAR |
113.489932 |
5.51 % |
099 |
Riyad Multi-Asset Opportunities Fund |
08/06/2023 |
10 |
SAR |
|
0 % |
024 |
Riyad Emaar Fund |
10/08/2025 |
26.215782 |
SAR |
26.343275 |
0.11 % |
017 |
Riyad Income Fund |
10/08/2025 |
9.834224 |
SAR |
9.853882 |
-2.38 % |
079 |
Riyad Opportunities Fund |
10/06/2025 |
17.834259 |
SAR |
17.666922 |
2.12 % |
098 |
Riyad Sharia Opportunities Fund |
10/06/2025 |
9.954832 |
SAR |
9.859659 |
-3.08 % |
049 |
Riyad Small and Medium Cap Fund |
10/08/2025 |
53.623646 |
SAR |
53.850351 |
-4.58 % |
INTERNATIONAL EQUITY FUNDS
019 |
Riyad Global Equity Sharia Fund |
10/08/2025 |
45.311841 |
USD |
45.682139 |
12.11 % |
050 |
Riyad Emerging Markets Equity Fund |
11/25/2024 |
14.520381 |
USD |
14.520381 |
1.12 % |
048 |
Riyad Gulf Equity Fund (ex-saudi |
10/08/2025 |
17.439812 |
SAR |
17.416812 |
12.52 % |
035 |
Riyad American Equity Fund |
10/08/2025 |
176.975932 |
USD |
175.850301 |
9.37 % |
LOCAL FIXED INCOME FUNDS
020 |
Riyad SAR Diversified Trade Fund |
10/08/2025 |
1861.354259 |
SAR |
1861.287385 |
1.77 % |
022 |
Riyad USD Diversified Trade Fund |
10/08/2025 |
30.33283 |
USD |
30.331226 |
1.91 % |
073 |
Riyad Financing Fund |
08/31/2025 |
10.141788 |
SAR |
10.138383 |
-.62 % |
00104 |
4-Riyad Fixed Income Fund II |
08/31/2025 |
10.138187 |
SAR |
10.074113 |
1.28 % |
096 |
Riyad Financing Fund III |
09/30/2025 |
10.104484 |
SAR |
10.062114 |
-.24 % |
00114 |
4-Riyad Fixed Income Fund IV |
08/31/2025 |
10.166581 |
SAR |
10.102696 |
1.67 % |
088 |
Riyad Financing Fund 2 |
09/02/2025 |
10.000154 |
SAR |
10.162463 |
-2.1 % |
LOCAL FIXED INCOME FUNDS
020 |
Riyad SAR Diversified Trade Fund |
10/08/2025 |
1861.354259 |
SAR |
1861.287385 |
1.77 % |
022 |
Riyad USD Diversified Trade Fund |
10/08/2025 |
30.33283 |
USD |
30.331226 |
1.91 % |
073 |
Riyad Financing Fund |
08/31/2025 |
10.141788 |
SAR |
10.138383 |
-.62 % |
00104 |
4-Riyad Fixed Income Fund II |
08/31/2025 |
10.138187 |
SAR |
10.074113 |
1.28 % |
096 |
Riyad Financing Fund III |
09/30/2025 |
10.104484 |
SAR |
10.062114 |
-.24 % |
00114 |
4-Riyad Fixed Income Fund IV |
08/31/2025 |
10.166581 |
SAR |
10.102696 |
1.67 % |
088 |
Riyad Financing Fund 2 |
09/02/2025 |
10.000154 |
SAR |
10.162463 |
-2.1 % |
LOCAL FIXED INCOME FUNDS
020 |
Riyad SAR Diversified Trade Fund |
10/08/2025 |
1861.354259 |
SAR |
1861.287385 |
1.77 % |
022 |
Riyad USD Diversified Trade Fund |
10/08/2025 |
30.33283 |
USD |
30.331226 |
1.91 % |
073 |
Riyad Financing Fund |
08/31/2025 |
10.141788 |
SAR |
10.138383 |
-.62 % |
00104 |
4-Riyad Fixed Income Fund II |
08/31/2025 |
10.138187 |
SAR |
10.074113 |
1.28 % |
096 |
Riyad Financing Fund III |
09/30/2025 |
10.104484 |
SAR |
10.062114 |
-.24 % |
00114 |
4-Riyad Fixed Income Fund IV |
08/31/2025 |
10.166581 |
SAR |
10.102696 |
1.67 % |
088 |
Riyad Financing Fund 2 |
09/02/2025 |
10.000154 |
SAR |
10.162463 |
-2.1 % |
MULTI ASSET FUNDS
030 |
Riyad Al Jarei Fund |
10/07/2025 |
40.227529 |
SAR |
40.378892 |
10.83 % |
031 |
Riyad Al Shujaa Fund |
10/07/2025 |
33.80579 |
SAR |
33.895877 |
9.16 % |
032 |
Riyad Al Mutawazen Fund |
10/07/2025 |
29.271176 |
SAR |
29.320756 |
7.55 % |
033 |
Riyad Al Mutahafedh Fund |
10/07/2025 |
18.52396 |
SAR |
18.529224 |
4.81 % |
00110 |
Riyad Monthly Distributions Multi Asset Fund |
10/06/2025 |
9.761734 |
SAR |
9.698679 |
2.3 % |
041 |
Riyad Al Shujaa Sharia Fund |
10/07/2025 |
40.886616 |
SAR |
41.022351 |
8.54 % |
042 |
Riyad Al Mutawazen Sharia Fund |
10/07/2025 |
33.083172 |
SAR |
33.159487 |
7.19 % |
043 |
Riyad Al Mutahafedh Sharia Fund |
10/07/2025 |
18.265352 |
SAR |
18.276761 |
4.46 % |
040 |
Riyad Al Jarei Sharia Fund |
10/07/2025 |
48.227561 |
SAR |
48.425493 |
9.32 % |
Funds Subscriptions during the Initial Offer Period
00112 |
2- Riyad Pre IPO Opportunities Fund 1 (ninja |
03/11/2025 |
10 |
SAR |
10 |
0 % |