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
2025-10-20
28.9278 SAR
-0.0867
-4.8343 %
189.2780 %
21,837,955.06 SAR
2019-05-16
14.0218 SAR
-0.0703
-14.3848 %
40.2180 %
6,349,692.17 SAR
13.8756 SAR
-0.0141
-0.8397 %
38.7560 %
4,261,537.00 SAR
الوثائق العامة
Quarterly Disclosures
Financial Disclosures