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- 6013 - DWF
- 1820 - ALHOKAIR GROUP
- 4170 - TECO
- 4290 - ALKHALEEJ TRNG
- 6002 - HERFY FOODS
- 1830 - Leejam Sports
- 6012 - RAYDAN
- 4291 - NCLE
- 4292 - ATAA
- 6014 - ALAMAR
- 6015 - AMERICANA
- 6016 - BURGERIZZR
- 4003 - EXTRA
- 4008 - SACO
- 4050 - SASCO
- 4190 - JARIR
- 4240 - CENOMI RETAIL
- 4191 - ABO MOATI
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- 4192 - ALSAIF GALLERY
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- 4061 - ANAAM HOLDING
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- 4161 - BINDAWOOD
- 4162 - ALMUNAJEM
- 4164 - NAHDI
- 4163 - ALDAWAA
- 2050 - SAVOLA GROUP
- 2100 - WAFRAH
- 2270 - SADAFCO
- 2280 - ALMARAI
- 6001 - HB
- 6010 - NADEC
- 6020 - GACO
- 6040 - TADCO
- 6050 - SFICO
- 6060 - SHARQIYAH DEV
- 6070 - ALJOUF
- 6090 - JAZADCO
- 2281 - TANMIAH
- 2282 - NAQI
- 2283 - FIRST MILLS
- 4080 - SINAD HOLDING
- 2284 - MODERN MILLS
- 2285 - ARABIAN MILLS
- 2286 - FOURTH MILLING
- 4002 - MOUWASAT
- 4004 - DALLAH HEALTH
- 4005 - CARE
- 4007 - ALHAMMADI
- 4009 - SAUDI GERMAN HEALTH
- 2230 - CHEMICAL
- 4013 - SULAIMAN ALHABIB
- 2140 - AYYAN
- 4014 - EQUIPMENT HOUSE
- 4017 - FAKEEH CARE
- 1010 - RIBL
- 1020 - BJAZ
- 1030 - SAIB
- 1050 - BSF
- 1060 - SAB
- 1080 - ANB
- 1120 - ALRAJHI
- 1140 - ALBILAD
- 1150 - ALINMA
- 1180 - SNB
- 2120 - SAIC
- 4280 - KINGDOM
- 4130 - ALBAHA
- 4081 - NAYIFAT
- 1111 - TADAWUL GROUP
- 4082 - MRNA
- 1182 - AMLAK
- 1183 - SHL
- 8010 - TAWUNIYA
- 8012 - JAZIRA TAKAFUL
- 8020 - MALATH INSURANCE
- 8030 - MEDGULF
- 8040 - ALLIANZ SF
- 8050 - SALAMA
- 8060 - WALAA
- 8070 - ARABIAN SHIELD
- 8190 - UCA
- 8230 - ALRAJHI TAKAFUL
- 8280 - LIVA
- 8150 - ACIG
- 8210 - BUPA ARABIA
- 8270 - BURUJ
- 8180 - ALSAGR INSURANCE
- 8170 - ALETIHAD
- 8100 - SAICO
- 8120 - GULF UNION ALAHLIA
- 8200 - SAUDI RE
- 8160 - AICC
- 8250 - GIG
- 8240 - CHUBB
- 8260 - GULF GENERAL
- 8300 - WATANIYA
- 8310 - AMANA INSURANCE
- 8311 - ENAYA
- 8313 - RASAN
- 4330 - RIYAD REIT
- 4331 - ALJAZIRA REIT
- 4332 - JADWA REIT ALHARAMAIN
- 4333 - TALEEM REIT
- 4334 - AL MAATHER REIT
- 4335 - MUSHARAKA REIT
- 4336 - MULKIA REIT
- 4338 - ALAHLI REIT 1
- 4337 - SICO SAUDI REIT
- 4342 - JADWA REIT SAUDI
- 4340 - Al RAJHI REIT
- 4339 - DERAYAH REIT
- 4344 - SEDCO CAPITAL REIT
- 4347 - BONYAN REIT
- 4345 - ALINMA RETAIL REIT
- 4346 - MEFIC REIT
- 4348 - ALKHABEER REIT
- 4349 - ALINMA HOSPITALITY REIT
- 4350 - ALISTITHMAR REIT
- 4020 - ALAKARIA
- 4323 - SUMOU
- 4090 - TAIBA
- 4100 - MCDC
- 4150 - ARDCO
- 4220 - EMAAR EC
- 4230 - RED SEA
- 4250 - JABAL OMAR
- 4300 - DAR ALARKAN
- 4310 - KEC
- 4320 - ALANDALUS
- 4321 - CENOMI CENTERS
- 4322 - RETAL
- NOMU
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Real Estate Mgmt & Dev't
Food & Beverages
- 9515 - FESH FASH
- 9532 - ALJOUF WATER
- 9536 - FADECO
- 9556 - NOFOTH
- 9559 - BALADY
- 9564 - HORIZON FOOD
- 9555 - LEEN ALKHAIR
- 9612 - SAMA WATER
- 9518 - CMCER
- 9530 - TIBBIYAH
- 9527 - AME
- 9544 - FUTURE CARE
- 9546 - NABA ALSAHA
- 9574 - PRO MEDEX
- 9594 - ALMODAWAT
- 9572 - ALRAZI
- 9587 - LANA
- 9600 - QOMEL
- 9604 - MIRAL
- 9513 - WATANI STEEL
- 9514 - ALNAQOOL
- 9523 - GROUP FIVE
- 9539 - AQASEEM
- 9548 - APICO
- 9553 - MOLAN
- 9565 - MEYAR
- 9552 - SAUDI TOP
- 9563 - BENA
- 9566 - LIME INDUSTRIES
- 9580 - ALRASHID INDUSTRIAL
- 9583 - UNITED MINING
- 9576 - PAPER HOME
- 9588 - RIYADH STEEL
- 9575 - MARBLE DESIGN
- 9599 - TAQAT
- 9601 - ALRASHEED
- 9605 - NEFT ALSHARQ
- 9607 - ASG
- 9609 - NAAS PETROL
- 9510 - NBM
- 9528 - GAS
- 9531 - OBEIKAN GLASS
- 9533 - SPC
- 9529 - RAOOM
- 9525 - ALWASAIL INDUSTRIAL
- 9542 - KEIR
- 9547 - RAWASI
- 9568 - MAYAR
- 9569 - ALMUNEEF
- 9578 - ATLAS ELEVATORS
- 9560 - WAJA
- 9611 - UFG
- 9540 - TADWEEER
- 9545 - ALDAWLIAH
- 9570 - TAM DEVELOPMENT
- 9581 - CLEAN LIFE
- 9593 - PAN GULF
- 9597 - LEAF
- 9608 - ALASHGHAL ALMOYSRA
- 9606 - THARWAH
- 9613 - SHALFA
- 9541 - ACADEMY OF LEARNING
- 9562 - FOOD GATE
- 9590 - ARMAH
- 9526 - JAHEZ
- 9598 - ALMOHAFAZA FOR EDUCATION
- 9603 - HORIZON EDUCATIONAL
- 9567 - GHIDA ALSULTAN
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Jadwa REIT Al Haramain Fund widened net losses to SAR 53.4 million in the first half of 2022 (-SAR 0.81 per unit), from SAR 9.1 million a year earlier.
Funds from operations (FFO) losses reached SAR 4.5 million in the six-month period, against a net profit of SAR 3.4 million in the year-ago period.
Financials (M)
Item | 6m 2021 | 6m 2022 | Change |
---|---|---|---|
Rental Income | 8.00 | 0.91 | (88.6 %) |
Funds from Operations(FFO) | 3.38 | (4.49) | (232.9 %) |
Net Income | (9.12) | (53.36) | (485.3 %) |
No of shares | 66.00 | 66.00 | - |
Operating EPS (Riyals) | 0.05 | (0.07) | (232.9 %) |
EPS (Riyals) | (0.14) | (0.81) | (485.3 %) |
Balance Sheet (Million)
Item | 6m 2021 | 6m 2022 | Change |
---|---|---|---|
Total Assets | 783.37 | 743.92 | (5.0 %) |
Total Debt | 232.30 | 252.77 | 8.8 % |
Net assets attributable to the Unitholders Item | 539.30 | 485.90 | (9.9 %) |
Market value of net assets | 568.92 | 485.90 | (14.6 %) |
View other reports
- TASI
-
Energy
- 2222 - SAUDI ARAMCO
- 2030 - SARCO
- 2380 - PETRO RABIGH
- 4030 - BAHRI
- 4200 - ALDREES
- 2381 - ARABIAN DRILLING
- 2382 - ADES
- 1201 - TAKWEEN
- 1202 - MEPCO
- 1210 - BCI
- 1211 - MAADEN
- 1301 - ASLAK
- 1304 - ALYAMAMAH STEEL
- 1320 - SSP
- 2001 - CHEMANOL
- 2010 - SABIC
- 2020 - SABIC AGRI-NUTRIENTS
- 2090 - NGC
- 2150 - ZOUJAJ
- 2170 - ALUJAIN
- 2180 - FIPCO
- 2200 - APC
- 2210 - NAMA CHEMICALS
- 2220 - MAADANIYAH
- 2240 - ZAMIL INDUST
- 2250 - SIIG
- 2290 - YANSAB
- 2300 - SPM
- 2310 - SIPCHEM
- 2330 - ADVANCED
- 2350 - SAUDI KAYAN
- 3002 - NAJRAN CEMENT
- 3003 - CITY CEMENT
- 3004 - NORTHERN CEMENT
- 3005 - UACC
- 3010 - ACC
- 3020 - YC
- 3030 - SAUDI CEMENT
- 3040 - QACCO
- 3050 - SPCC
- 3060 - YCC
- 3080 - EPCCO
- 3090 - TCC
- 3091 - JOUF CEMENT
- 3092 - RIYADH CEMENT
- 2060 - TASNEE
- 3008 - ALKATHIRI
- 3007 - OASIS
- 1321 - EAST PIPES
- 1322 - AMAK
- 2223 - LUBEREF
- 2360 - SVCP
- 1212 - ASTRA INDUSTRIAL
- 1302 - BAWAN
- 1303 - EIC
- 2040 - SAUDI CERAMICS
- 2110 - SAUDI CABLE
- 2160 - AMIANTIT
- 2320 - ALBABTAIN
- 2370 - MESC
- 4140 - SIECO
- 4141 - ALOMRAN
- 4142 - RIYADH CABLES
- 1214 - SHAKER
- 4110 - BATIC
- 4143 - TALCO
- 4031 - SGS
- 4040 - SAPTCO
- 4260 - BUDGET SAUDI
- 2190 - SISCO HOLDING
- 4261 - THEEB
- 4263 - SAL
- 4262 - LUMI
- 1810 - SEERA
- 6013 - DWF
- 1820 - ALHOKAIR GROUP
- 4170 - TECO
- 4290 - ALKHALEEJ TRNG
- 6002 - HERFY FOODS
- 1830 - Leejam Sports
- 6012 - RAYDAN
- 4291 - NCLE
- 4292 - ATAA
- 6014 - ALAMAR
- 6015 - AMERICANA
- 6016 - BURGERIZZR
- 4003 - EXTRA
- 4008 - SACO
- 4050 - SASCO
- 4190 - JARIR
- 4240 - CENOMI RETAIL
- 4191 - ABO MOATI
- 4051 - BAAZEEM
- 4192 - ALSAIF GALLERY
- 4001 - A.OTHAIM MARKET
- 4006 - FARM SUPERSTORES
- 4061 - ANAAM HOLDING
- 4160 - THIMAR
- 4161 - BINDAWOOD
- 4162 - ALMUNAJEM
- 4164 - NAHDI
- 4163 - ALDAWAA
- 2050 - SAVOLA GROUP
- 2100 - WAFRAH
- 2270 - SADAFCO
- 2280 - ALMARAI
- 6001 - HB
- 6010 - NADEC
- 6020 - GACO
- 6040 - TADCO
- 6050 - SFICO
- 6060 - SHARQIYAH DEV
- 6070 - ALJOUF
- 6090 - JAZADCO
- 2281 - TANMIAH
- 2282 - NAQI
- 2283 - FIRST MILLS
- 4080 - SINAD HOLDING
- 2284 - MODERN MILLS
- 2285 - ARABIAN MILLS
- 2286 - FOURTH MILLING
- 4002 - MOUWASAT
- 4004 - DALLAH HEALTH
- 4005 - CARE
- 4007 - ALHAMMADI
- 4009 - SAUDI GERMAN HEALTH
- 2230 - CHEMICAL
- 4013 - SULAIMAN ALHABIB
- 2140 - AYYAN
- 4014 - EQUIPMENT HOUSE
- 4017 - FAKEEH CARE
- 1010 - RIBL
- 1020 - BJAZ
- 1030 - SAIB
- 1050 - BSF
- 1060 - SAB
- 1080 - ANB
- 1120 - ALRAJHI
- 1140 - ALBILAD
- 1150 - ALINMA
- 1180 - SNB
- 2120 - SAIC
- 4280 - KINGDOM
- 4130 - ALBAHA
- 4081 - NAYIFAT
- 1111 - TADAWUL GROUP
- 4082 - MRNA
- 1182 - AMLAK
- 1183 - SHL
- 8010 - TAWUNIYA
- 8012 - JAZIRA TAKAFUL
- 8020 - MALATH INSURANCE
- 8030 - MEDGULF
- 8040 - ALLIANZ SF
- 8050 - SALAMA
- 8060 - WALAA
- 8070 - ARABIAN SHIELD
- 8190 - UCA
- 8230 - ALRAJHI TAKAFUL
- 8280 - LIVA
- 8150 - ACIG
- 8210 - BUPA ARABIA
- 8270 - BURUJ
- 8180 - ALSAGR INSURANCE
- 8170 - ALETIHAD
- 8100 - SAICO
- 8120 - GULF UNION ALAHLIA
- 8200 - SAUDI RE
- 8160 - AICC
- 8250 - GIG
- 8240 - CHUBB
- 8260 - GULF GENERAL
- 8300 - WATANIYA
- 8310 - AMANA INSURANCE
- 8311 - ENAYA
- 8313 - RASAN
- 4330 - RIYAD REIT
- 4331 - ALJAZIRA REIT
- 4332 - JADWA REIT ALHARAMAIN
- 4333 - TALEEM REIT
- 4334 - AL MAATHER REIT
- 4335 - MUSHARAKA REIT
- 4336 - MULKIA REIT
- 4338 - ALAHLI REIT 1
- 4337 - SICO SAUDI REIT
- 4342 - JADWA REIT SAUDI
- 4340 - Al RAJHI REIT
- 4339 - DERAYAH REIT
- 4344 - SEDCO CAPITAL REIT
- 4347 - BONYAN REIT
- 4345 - ALINMA RETAIL REIT
- 4346 - MEFIC REIT
- 4348 - ALKHABEER REIT
- 4349 - ALINMA HOSPITALITY REIT
- 4350 - ALISTITHMAR REIT
- 4020 - ALAKARIA
- 4323 - SUMOU
- 4090 - TAIBA
- 4100 - MCDC
- 4150 - ARDCO
- 4220 - EMAAR EC
- 4230 - RED SEA
- 4250 - JABAL OMAR
- 4300 - DAR ALARKAN
- 4310 - KEC
- 4320 - ALANDALUS
- 4321 - CENOMI CENTERS
- 4322 - RETAL
- NOMU
-
Real Estate Mgmt & Dev't
Food & Beverages
- 9515 - FESH FASH
- 9532 - ALJOUF WATER
- 9536 - FADECO
- 9556 - NOFOTH
- 9559 - BALADY
- 9564 - HORIZON FOOD
- 9555 - LEEN ALKHAIR
- 9612 - SAMA WATER
- 9518 - CMCER
- 9530 - TIBBIYAH
- 9527 - AME
- 9544 - FUTURE CARE
- 9546 - NABA ALSAHA
- 9574 - PRO MEDEX
- 9594 - ALMODAWAT
- 9572 - ALRAZI
- 9587 - LANA
- 9600 - QOMEL
- 9604 - MIRAL
- 9513 - WATANI STEEL
- 9514 - ALNAQOOL
- 9523 - GROUP FIVE
- 9539 - AQASEEM
- 9548 - APICO
- 9553 - MOLAN
- 9565 - MEYAR
- 9552 - SAUDI TOP
- 9563 - BENA
- 9566 - LIME INDUSTRIES
- 9580 - ALRASHID INDUSTRIAL
- 9583 - UNITED MINING
- 9576 - PAPER HOME
- 9588 - RIYADH STEEL
- 9575 - MARBLE DESIGN
- 9599 - TAQAT
- 9601 - ALRASHEED
- 9605 - NEFT ALSHARQ
- 9607 - ASG
- 9609 - NAAS PETROL
- 9510 - NBM
- 9528 - GAS
- 9531 - OBEIKAN GLASS
- 9533 - SPC
- 9529 - RAOOM
- 9525 - ALWASAIL INDUSTRIAL
- 9542 - KEIR
- 9547 - RAWASI
- 9568 - MAYAR
- 9569 - ALMUNEEF
- 9578 - ATLAS ELEVATORS
- 9560 - WAJA
- 9611 - UFG
- 9540 - TADWEEER
- 9545 - ALDAWLIAH
- 9570 - TAM DEVELOPMENT
- 9581 - CLEAN LIFE
- 9593 - PAN GULF
- 9597 - LEAF
- 9608 - ALASHGHAL ALMOYSRA
- 9606 - THARWAH
- 9613 - SHALFA
- 9541 - ACADEMY OF LEARNING
- 9562 - FOOD GATE
- 9590 - ARMAH
- 9526 - JAHEZ
- 9598 - ALMOHAFAZA FOR EDUCATION
- 9603 - HORIZON EDUCATIONAL
- 9567 - GHIDA ALSULTAN
Share Price
Jadwa REIT Al Haramain Fund (JADWA REIT ALHARAMAIN)
Current | |
Number of Units (Million) | 66.00 |
Net Income/Unit ( Riyal) | 0.40 |
Funds from operations/Unit ( Riyal) | 0.11 |
P/E (X) (TTM) | 14.67 |
Current Price/FFO (X) | 52.31 |
Par Value ( Riyal) | 10.00 |
Price/book | 0.76 |
Asset Growth (%) | (1.88 ) |
Revenue Growth (%) | 6.4 |
Net Income Growth (%) | 1,027.3 |
Adjusted P/E (Last12) (X) | 14.67 |
Financial results (Million)
Financial results (Million)
Period | Rental Income | Change | Funds from Operations(FFO) | Change | Net Income | Change |
---|---|---|---|---|---|---|
H1 2017 | 8.54 | - | 6.66 | - | 4.25 | - |
H2 2017 | 21.34 | - | 16.83 | - | 10.86 | - |
2017 | 29.88 | - | 23.48 | - | 15.10 | - |
H1 2018 | 26.59 | 211.5 % | 17.73 | 166.5 % | 11.82 | 178.2 % |
H2 2018 | 27.39 | 28.3 % | 17.83 | 5.9 % | 11.79 | 8.6 % |
2018 | 53.98 | 80.7 % | 35.56 | 51.4 % | 23.61 | 56.3 % |
H1 2019 | 26.95 | 1.3 % | 14.99 | (15.5 %) | 9.12 | (22.9 %) |
H2 2019 | 25.62 | (6.5 %) | 17.57 | (1.4 %) | 9.85 | (16.4 %) |
2019 | 52.57 | (2.6 %) | 32.56 | (8.4 %) | 18.97 | (19.6 %) |
H1 2020 | 8.07 | (70.1 %) | (1.63) | (110.9 %) | (68.05) | (846.3 %) |
H2 2020 | - | - | (0.09) | (100.5 %) | 0.01 | (99.9 %) |
2020 | 8.07 | (84.7 %) | (1.72) | (105.3 %) | (68.05) | (458.6 %) |
H1 2021 | 8.00 | (0.8 %) | 3.38 | 307.2 % | (9.12) | 86.6 % |
H2 2021 | 8.00 | - | 3.31 | 3946.5 % | (0.04) | (575.0 %) |
2021 | 16.00 | 98.3 % | 6.69 | 489.6 % | (9.16) | 86.5 % |
H1 2022 | 0.91 | (88.6 %) | (4.49) | (232.9 %) | (53.36) | (485.3 %) |
Period | Rental Income | Change | Funds from Operations(FFO) | Change | Net Income | Change |
---|---|---|---|---|---|---|
2017 | 29.88 | - | 23.48 | - | 15.10 | - |
2018 | 53.98 | 80.7 % | 35.56 | 51.4 % | 23.61 | 56.3 % |
2019 | 52.57 | (2.6 %) | 32.56 | (8.4 %) | 18.97 | (19.6 %) |
2020 | 8.07 | (84.7 %) | (1.72) | (105.3 %) | (68.05) | (458.6 %) |
2021 | 16.00 | 98.3 % | 6.69 | 489.6 % | (9.16) | 86.5 % |
Balance Sheet (Million)
Balance Sheet (B)
Period | Total Assets | Change | Total Debt | Change | Net assets attributable to the Unitholders Item | Change | Market value of net assets | Change |
---|---|---|---|---|---|---|---|---|
H1 2017 | 656.23 | - | - | - | 654.35 | - | 701.36 | - |
H2 2017 | 847.20 | - | 177.08 | - | 658.60 | - | 716.58 | - |
H1 2018 | 836.45 | 27.5 % | 177.20 | - | 653.23 | (0.2 %) | 717.53 | 2.3 % |
H2 2018 | 832.91 | (1.7 %) | 180.84 | 2.1 % | 646.33 | (1.9 %) | 716.96 | 0.1 % |
H1 2019 | 828.55 | (0.9 %) | 181.13 | 2.2 % | 636.96 | (2.5 %) | 713.60 | (0.5 %) |
H2 2019 | 817.51 | (1.8 %) | 181.42 | 0.3 % | 629.66 | (2.6 %) | 712.14 | (0.7 %) |
H1 2020 | 738.77 | (10.8 %) | 181.72 | 0.3 % | 548.41 | (13.9 %) | 630.54 | (11.6 %) |
H2 2020 | 789.36 | (3.4 %) | 232.01 | 27.9 % | 548.41 | (12.9 %) | 631.45 | (11.3 %) |
H1 2021 | 783.37 | 6.0 % | 232.30 | 27.8 % | 539.30 | (1.7 %) | 568.92 | (9.8 %) |
H2 2021 | 793.66 | 0.5 % | 252.11 | 8.7 % | 539.26 | (1.7 %) | 584.18 | (7.5 %) |
H1 2022 | 743.92 | (5.0 %) | 252.77 | 8.8 % | 485.90 | (9.9 %) | 485.90 | (14.6 %) |
Period | Total Assets | Change | Total Debt | Change | Net assets attributable to the Unitholders Item | Change | Market value of net assets | Change |
---|---|---|---|---|---|---|---|---|
2017 | 847.20 | - | 177.08 | - | 658.60 | - | 716.58 | - |
2018 | 832.91 | (1.7 %) | 180.84 | 2.1 % | 646.33 | (1.9 %) | 716.96 | 0.1 % |
2019 | 817.51 | (1.8 %) | 181.42 | 0.3 % | 629.66 | (2.6 %) | 712.14 | (0.7 %) |
2020 | 789.36 | (3.4 %) | 232.01 | 27.9 % | 548.41 | (12.9 %) | 631.45 | (11.3 %) |
2021 | 793.66 | 0.5 % | 252.11 | 8.7 % | 539.26 | (1.7 %) | 584.18 | (7.5 %) |
Multiple Ratios (End of Period Price)
Ratios And Multiples
Period | Price/ Earnings (P/E)(x) | Price/FFO(x) |
---|---|---|
Q2 2013 | - | - |
Q4 2013 | - | - |
Q2 2014 | - | - |
Q4 2014 | - | - |
Q2 2015 | - | - |
Q4 2015 | - | - |
Q2 2016 | - | - |
Q4 2016 | - | - |
Q2 2017 | - | - |
Q4 2017 | 44.92 | 28.89 |
Q2 2018 | 24.77 | 16.25 |
Q4 2018 | 20.97 | 13.92 |
Q2 2019 | 25.29 | 16.11 |
Q4 2019 | 28.46 | 16.58 |
Q2 2020 | NEG | 25.51 |
Q4 2020 | NEG | NEG |
Q2 2021 | NEG | More than 100 |
Q4 2021 | NEG | More than 100 |
Q2 2022 | NEG | NEG |
Period | Price/ Earnings (P/E)(x) | Price/FFO(x) |
---|---|---|
2012 | - | - |
2013 | - | - |
2014 | - | - |
2015 | - | - |
2016 | - | - |
2017 | 44.92 | 28.89 |
2018 | 20.97 | 13.92 |
2019 | 28.45 | 16.58 |
2020 | NEG | NEG |
2021 | NEG | More than 100 |
Unit Data (Riyal)
Evolution of the Funds Portfolio
Period | Operating EPS | EPS | Book Value | Market Value |
---|---|---|---|---|
H1 2017 | 0.10 | 0.06 | 9.91 | 10.63 |
H2 2017 | 0.25 | 0.16 | 9.98 | 10.86 |
H1 2018 | 0.27 | 0.18 | 9.90 | 10.87 |
H2 2018 | 0.27 | 0.18 | 9.79 | 10.86 |
H1 2019 | 0.23 | 0.14 | 9.65 | 10.81 |
H2 2019 | 0.27 | 0.15 | 9.54 | 10.79 |
H1 2020 | (0.02) | (1.03) | 8.31 | 9.55 |
H2 2020 | 0.00 | 0.00 | 8.31 | 9.57 |
H1 2021 | 0.05 | (0.14) | 8.17 | 8.62 |
H2 2021 | 0.05 | 0.00 | 8.17 | 8.85 |
H1 2022 | (0.07) | (0.81) | 7.36 | 7.36 |
Period | Operating EPS | EPS | Book Value | Market Value |
---|---|---|---|---|
2017 | 0.36 | 0.23 | 9.98 | 10.86 |
2018 | 0.54 | 0.36 | 9.79 | 10.86 |
2019 | 0.49 | 0.29 | 9.54 | 10.79 |
2020 | (0.03) | (1.03) | 8.31 | 9.57 |
2021 | 0.10 | (0.14) | 8.17 | 8.85 |
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