Fund Overview
Rating
Performance
Start Date
Start Price
Evaluation date
Current NAV per Unit
Change from Previous Valuation
Change Year-to-Date
Change Since Inception
Net Asset Value
2014-04-05
10 SAR
2026-02-02
27.4220 SAR
-0.0882
3.0100 %
174.2200 %
20,594,753.92 SAR
2019-05-16
14.0599 SAR
-0.0138
3.7500 %
40.6000 %
6,229,655.47 SAR
12.9647 SAR
-0.0746
7.6600 %
29.6500 %
2,092,505.85 SAR
2025-05-28
2026-02-03
10.1305 SAR
-0.0001
0.1200 %
1.3100 %
5,971,410.83 SAR
الوثائق العامة
Quarterly Disclosures
Financial Disclosures