The Fund aims at developing the invested capital over the long term through investing in the Sharia-compliant Saudi stocks. The Fund aims also at achieving performance that exceeds the benchmark by following active management that enables it to move between sectors in a timely manner with emphasis on promising companies that have attractive rates of assessment and those undergoing restructuring processes and have strong momentum for improving profitability.
NAV
34.232731
Valuation Date
2026-06-10
Net Asset Value
81317831.340000
Since the beginning of the year
2.261942%
Minimum subscription
1
Subscription fees
1.5%