The fund is one of the Shariah-compliant investment vessels which aim at achieving good investment returns and preserving capital by financing Murabaha transactions in Saudi Riyal. The Fund Manager purchases goods from well known suppliers and pays the corresponding price in cash, and then sells such goods on a deferred basis to internationally reputable companies at a higher price. The difference between the purchase price and the sale price shall be the achieved profit margin.

NAV

13.882127

Valuation Date

2025-12-31

Net Asset Value

2651601099.862305

Since the beginning of the year

0.000000%

Minimum subscription

1

Subscription fees

0%