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
2026-04-08
27.6987 SAR
0.3226
5.2214 %
176.9870 %
20,906,569.70 SAR
2019-05-16
13.4800 SAR
0.0105
4.2964 %
34.8000 %
6,047,419.85 SAR
12.6664 SAR
0.0149
-2.5339 %
26.6640 %
2,096,984.02 SAR
2025-05-28
2026-04-09
10.0096 SAR
0.0002
0.2534 %
0.0960 %
3,959,512.72 SAR
الوثائق العامة
Quarterly Disclosures
Financial Disclosures