Announcement by Alawwal invest for providing the public with the interim financial statements for the period ending on 30/06/2021 are available to the public

Saudi Riyal Money Market Fund

- Net assets on the end of period of (145,552,175)(SAR). 

- Total expenses and fees for the period (-474850)(SAR). 

- Net profit (loss) for the period of (115,718)(SAR). 

- Numberof outstanding units in the end of period (6,845,502) (units). 

- Netasset value for the unit in (21.26) 

Al Yusr Saudi Equity Fund

- Net assets on the end of period of (50,296,440) (SAR).

- Total expenses and fees for the period (-575,773) (SAR).

- Net profit (loss) for the period of (10,835,484) (SAR).

- Number of outstanding units in the end of period (472,502) (units).

- Net asset value for the unit in (106.45)

Saudi Financial Equity Fund

- Net assets on the end of period of (39,291,868) (SAR).

- Total expenses and fees for the period (-438,885) (SAR).

- Net profit (loss) for the period of (9,929,598) (SAR).

- Number of outstanding units in the end of period (655,973) (units).

- Net asset value for the unit in (59.90)

Al Yusr Morabaha & Sukuk

- Net assets on the end of period of (1,111,531,814) (SAR).

- Total expenses and fees for the period (-4,664,082) (SAR).

- Net profit (loss) for the period of (6,765,587) (SAR).

- Number of outstanding units in the end of period (22,274,013) (units).

- Net asset value for the unit (12.88)

Saudi Equity Fund

- Net assets on the end of period of (31,379,796) (SAR).

- Total expenses and fees for the period (-387,751) (SAR).

- Net profit (loss) for the period of (7,623,599) (SAR).

- Number of outstanding units in the end of period (2,939,146) (units).

- Net asset value for the unit in 10.68

Al Yusr SAR Morabaha Fund

- Net assets on the end of period of (179,309,792) (SAR).

- Total expenses and fees for the period (-632,767) (SAR).

- Net profit (loss) for the period of (63,948) (SAR).

- Number of outstanding units in the end of period (12,497,081) (units).

 - Net asset value for the unit in 14.35

GCC Equity Fund

- Net assets on the end of period of (10,083,232) (SAR).

- Total expenses and fees for the period -149,632)) (SAR).

- Net profit (loss) for the period of (1,956,278) (SAR).

- Number of outstanding units in the end of period (554,920) (units).

- Net asset value for the unit in (18.17)

Quick tip

Compatibility Notification

Your browser is out of date. Please upgrade to a newer browser (latest version of Chrome, Firefox or Internet Explorer 11) to view this site.

SAB Invest