JADWA SAUDI RIYAL MURABAHA FUND Managed by JADWA INVESTMENT COMPANY Interim Financial Statements (Unaudited) For the six-month period ended 30 June
|
|
- Grant Barker
- 5 years ago
- Views:
Transcription
1 Managed by JADWA INVESTMENT COMPANY Interim Financial Statements (Unaudited) together with the Independent Auditors Review Report to the Unit-Holders
2
3 INTERIM BALANCE SHEET (Unaudited) As at 30 June 2016 ASSETS Notes Cash at bank 4 78,835 4,518,493 Murahaba placements 5 2,607,368, ,111,110 Accrued special commission income 11,168,801 88,471 Total assets 2,618,616, ,718,074 LIABILITIES Management fee payable 1 (b),6 1,118, Accrued expenses 22,200 13,690 Total liabilities 1,141,197 13,690 Net assets attributable to Unit-Holders 2,617,475, ,704,384 Units in issue (numbers) 23,600, ,454, Net assets attributable to each unit The accompanying notes (1) to (9) form an integral part of these interim financial statements. 1
4 INTERIM STATEMENT OF INCOME (Unaudited) INCOME For the six-months period ended 30 June Notes Special commission income 30,277, ,765 EXPENSES Management fee 1 (a),6 (2,259,115) -- Other expenses 1 (a) (22,440) (13,705) Total expenses (2,281,555) (13,705) NET INCOME FOR THE PERIOD 27,995, ,060 The accompanying notes (1) to (9) form an integral part of these interim financial statements. 2
5 INTERIM STATEMENT OF CASH FLOWS (Unaudited) CASH FLOWS FROM OPERATING ACTIVITIES For the six-months period ended 30 June Net income for the period 27,995, ,060 Adjustment to reconcile net income for the period to net cash used in operating activities: Murabaha placements made during the period (3,893,203,203) (241,029,455) Murabaha placements matured during the period 3,865,609, ,796,927 Accrued special commission income (8,605,685) (40,310) Management fee payable 1,118, Accrued expenses (10,076) (2,354) Net cash used in operating activities (7,094,882) (27,987,132) CASH FLOWS FROM FINANCING ACTIVITIES Proceeds from units issued 1,761,071,193 78,476,113 Payment against redemption of units (531,095,025) (18,404,565) Net cash generated from financing activities 1,229,976,168 60,071,548 Net increase in cash and cash equivalents 1,222,881,286 32,084,416 Cash and cash equivalents at beginning of the period 582,401,002 2,462,721 Cash and cash equivalents at end of the period (Note 4) 1,805,282,288 34,547,137 The accompanying notes (1) to (9) form an integral part of these interim financial statements. 3
6 INTERIM STATEMENT OF CHANGES IN NET ASSETS ATTRIBUTABLE TO UNIT-HOLDERS (Unaudited) For the six-months period ended 30 June Net assets attributable to Unit-Holders at beginning of the period 1,359,503,049 98,344,776 Net income for the period 27,995, ,060 Changes from unit transactions: Proceeds from issuance of units 1,761,071,193 78,476,113 Payment against redemption of units (531,095,025) (18,404,565) Net change from unit transactions 1,229,976,168 60,071,548 Net assets attributable to Unit-Holders at end of the period 2,617,475, ,704,384 UNITS TRANSACTIONS Units Units Units in issuance at beginning of the period 12,398, , Units issued 16,005, , Units redeemed (4,803,008.67) (168,738.24) Net change in units during the period 11,202, , Units in issuance at end of the period 23,600, ,454, The accompanying notes (1) to (9) form an integral part of these interim financial statements. 4
7 NOTES TO THE INTERIM FINANCIAL STATEMENTS (Unaudited) 1. THE FUND AND ITS ACTIVITIES Jadwa Saudi Riyal Murabaha Fund (the Fund ) is a trade transactions fund established and managed through an agreement between the Jadwa Investment Company (the Fund Manager ) and the Fund Investors (the Unit-Holders ). The Capital Market Authority s (CMA) approval for the establishment of the Fund was granted in its letter number 443 dated 9 Jumada I 1428 H (corresponding to 26 May 2007). The Fund commenced its operations on 30 June The Fund aims to generate market returns from short-term Murabaha based trade transactions that are compliant with Shariah principles. In dealing with Unit-Holders, the Fund Manager considers the Fund as an independent accounting unit. Accordingly, the Fund Manager prepares separate interim financial statements for the Fund. The Fund is governed by the Investment Fund Regulations (the regulations) published by CMA on 3 Dhul Hijah1427 H (corresponding to 24 December 2006) detailing requirements for all funds within the Kingdom of Saudi Arabia. The Fund Manager, administrator and custodian of the Fund is Jadwa Investment Company. The books and records of the Fund are maintained in Saudi Riyals. (a) The management of the Fund is the responsibility of the Fund Manager. However, in accordance with the Fund s Agreement, the Fund Manager can delegate or assign its duties to one or more of the financial institutions in the Kingdom of Saudi Arabia and overseas. The Fund Manager charges the Fund a management fee up to 0.5% per annum of the net assets value of the Fund at each valuation day. However, up to the period ended 30 April 2016, the Fund Manager did not charge the Fund any management fees. The Fund Manager has the right to collectively charge the Fund all other expenses related to the management of the Fund, including but not limited to audit fee and legal charges for a percentage not to exceed 1% per annum of the net assets value of the Fund at each valuation day. 2. BASIS OF PREPARATION a) Statement of compliance These interim financial statements have been presented in accordance with generally accepted accounting standards in the Kingdom of Saudi Arabia issued by the Saudi Organization of Certified Public Accountants (SOCPA) and do not include all of the information required for full annual financial statements and should be read in conjunction with the annual financial statements of the Fund as at and for the year ended 31 December b) Basis of measurement These interim financial statements have been prepared under the historical cost convention, using the accrual basis of accounting and the going concern concept. The interim results may not be indicative of the Fund s annual results of operations. c) Functional and presentation currency These interim financial statements have been presented in Saudi Arabian Riyals (SR), which is the functional currency of the Fund. 5
8 NOTES TO THE INTERIM FINANCIAL STATEMENTS (Unaudited) 2. BASIS OF PREPARATION (CONTINUED) d) Use of estimates and judgment The preparation of financial statements requires management to make judgments, estimates and assumptions that affect the application of policies and reported amounts of assets, liabilities, income and expense. Actual results may differ from these estimates. The significant judgment made by management in applying accounting policies and key sources of estimation uncertainty were the same as those that applied to the financial statements as at and for the year ended 31 December SIGNIFICANT ACCOUNTING AND RISK MANAGEMENT POLICIES The significant accounting policies used in the preparation of these interim financial statements and risk management policies are consistent with those used and disclosed in the annual financial statements for the year ended 31 December CASH AND CASH EQUIVALENTS Cash at bank 78,835 4,518,493 Murabaha placements with original maturity of three months or less Note 4.1 & Note 5 1,805,203,453 30,028,644 1,805,282,288 34,547, This represent placements with Saudi banks, having sound credit ratings and have maturity up to 9 August MURAHABA PLACEMENTS Description Annual special commission rate (%) Murabaha placements with original maturity of three months or less ,805,203,453 30,028,644 Murabaha placements with original maturity of more than three months ,165, ,082,466 2,607,368, ,111, RELATED PARTY TRANSACTIONS Related parties of the Fund includes the Fund Manager, Funds managed by the Fund Manager and the Fund Board. In the ordinary course of its activities, the Fund transacts business with Jadwa Investment Company (refer note 1). Transactions with the related parties included in the accompanying interim financial statements are as follows: For the six-month period ended 30 June 6 Management fee 2,259, Fees for Fund Board meetings (independent Fund Board Directors) Other expenses 8,525 1,000
9 NOTES TO THE INTERIM FINANCIAL STATEMENTS (Unaudited) 6. RELATED PARTY TRANSACTIONS (CONTINUED) The balance resulting from such transaction included in the accompanying interim financial statements is as follows: 30 June 30 June Management fee payable 1,118, Meeting fees payable to independent Fund Board Directors Accrued expenses 8,525 1,000 The Unit-Holders accounts as at 30 June include units held by the following related parties: Units Units Fund Manager 3,728, Jadwa Investment Fund # 11 70, Jadwa Investment Fund # , Jadwa Investment Fund # , Jadwa Investment Fund # 17 86, Jadwa Investment Fund # 14 65, Jadwa Investment Fund # 18 92, Jadwa Investment Fund # 20 54, FAIR VALUE OF FINANCIAL INSTRUMENTS Financial instruments comprise financial assets and financial liabilities. The Fund s financial assets consist of cash at bank and murabaha placements. Financial liabilities comprise management fee payable. Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. Murabaha placements are primarily shot term in nature and fair value is not considered to be significantly different than their carrying value. Fair value of other financial instruments approximates their carrying value. 8. VALUATION DAY The Fund s units are valued every business day daily and unit price is announced on the following business day. In accordance with terms and conditions of the Fund, the last valuation date of the period was 30 June 2016 (2015: 30 June 2015). 9. APPROVAL OF INTERIM FINANCIAL STATEMENTS These interim financial statements were approved by the Fund Manager on 8 Dhual Qa Dah 1437H corresponding to 11 August
THE INVESTOR SAUDI RIYAL MURABAHA FUND (Open Ended Mutual Fund) Managed by THE INVESTOR FOR SECURITIES COMPANY Interim Financial Statements
Managed by THE INVESTOR FOR SECURITIES COMPANY Interim Financial Statements (Un-Audited) together with Review Report to the Unitholders Managed by the Investor for Securities Company Interim Financial
More informationJADWA SAUDI RIYAL MURABAHA FUND Open-ended Mutual Fund (MANAGED BY JADWA INVESTMENT COMPANY) Financial Statements For the year ended 31 December 2015
Financial Statements together with the Independent Auditors Report to the Unitholders FINANCIAL STATEMENTS TOGETHER WITH THE INDEPENDENT AUDITORS REPORT FOR THE YEAR ENDED 31 DECEMBER 2015 INDEX PAGE Auditors
More informationAL HADI SHARIAH COMPLIANT FUND Open-ended Fund (Managed by Riyad Capital) Interim Condensed Financial Statements (Un-Audited) For the six month
Interim Condensed Financial Statements (Un-Audited) Together with the INDEPENDENT AUDITOR S REVIEW REPORT TO THE UNITHOLDERS AL HADI SHARIAH COMPLIANT FUND Riyadh, Kingdom of Saudi Arabia INDEPENDENT AUDITOR
More informationJADWA SAUDI RIYAL MURABAHA FUND FINANCIAL STATEMENTS AND AUDITORS REPORT FOR THE YEAR ENDED DECEMBER 31, 2011
FINANCIAL STATEMENTS AND AUDITORS REPORT MT: Saudi Riyal Murabaha Fund (fs.dec.31, ) FINANCIAL STATEMENTS AND AUDITORS REPORT INDEX PAGE Auditors report 1 Statement of assets and liabilities 2 Statement
More informationRIYAD INCOME FUND Open-Ended Fund (Managed by Riyad Capital) Interim Condensed Financial Statements (Un-Audited) For the six month period ended 30
Interim Condensed Financial Statements (Un-Audited) Together with the Independent Auditors Review Report TO THE UNITHOLDERS RIYAD INCOME FUND Riyadh, Kingdom of Saudi Arabia INDEPENDENT AUDITORS REVIEW
More informationAL HADI FUND Open-ended Fund (Managed by Riyad Capital) Interim Condensed Financial Statements (Un-Audited) For the six month period ended 30 June
Interim Condensed Financial Statements (Un-Audited) Together with the INDEPENDENT AUDITOR S REVIEW REPORT TO THE UNITHOLDERS AL HADI FUND Riyadh, Kingdom of Saudi Arabia INDEPENDENT AUDITOR S REVIEW REPORT
More informationMEFIC LOCAL EQUITY FUND Managed by MIDDLE EAST FINANCIAL INVESTMENT COMPANY FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 DECEMBER 2017 together with
Managed by MIDDLE EAST FINANCIAL INVESTMENT COMPANY FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 DECEMBER 2017 together with the INDEPENDENT AUDITOR S REPORT FINANCIAL STATEMENTS AND INDEPENDENT AUDITOR
More informationAL MURABEH FUND Managed by ALBILAD INVESTMENT COMPANY
Managed by ALBILAD INVESTMENT COMPANY Financial Statements For the year ended 31 December 2011 together with the Independent Auditors Report to Unit Holders BALANCE SHEET As at 31 December ASSETS Note
More informationMEFIC SAUDI RIYAL MURABAHA FUND Managed by MIDDLE EAST FINANCIAL INVESTMENT COMPANY UNAUDITED CONDENSED INTERIM FINANCIAL STATEMENTS FOR THE SIX
Managed by MIDDLE EAST FINANCIAL INVESTMENT COMPANY UNAUDITED CONDENSED INTERIM FINANCIAL STATEMENTS FOR THE SIX MONTHS PERIOD ENDED 30 JUNE 2018 together with the INDEPENDENT AUDITOR S REVIEW REPORT Managed
More informationMEFIC SAUDI FREESTYLE EQUITY FUND Managed by MIDDLE EAST FINANCIAL INVESTMENT COMPANY UNAUDITED CONDENSED INTERIM FINANCIAL STATEMENTS FOR THE
Managed by MIDDLE EAST FINANCIAL INVESTMENT COMPANY UNAUDITED CONDENSED INTERIM FINANCIAL STATEMENTS FOR THE SIX-MONTH PERIOD ENDED 30 JUNE 2018 together with the INDEPENDENT AUDITOR S REVIEW REPORT INDEX
More informationSAIB Trade Finance Fund (Managed by Alistithmar for Financial Securities and Brokerage Company)
(Managed by Alistithmar for Financial Securities and Brokerage Company) UNAUDITED INTERIM FINANCIAL STATEMENTS 30 JUNE INTERIM BALANCE SHEET As at ASSETS Note 31 December (Audited) Bank balance 40,748,165
More informationMEFIC LOCAL EQUITY FUND Managed by MIDDLE EAST FINANCIAL INVESTMENT COMPANY UNAUDITED CONDENSED INTERIM FINANCIAL STATEMENTS FOR THE SIX-MONTH PERIOD
Managed by MIDDLE EAST FINANCIAL INVESTMENT COMPANY UNAUDITED CONDENSED INTERIM FINANCIAL STATEMENTS FOR THE SIX-MONTH PERIOD ENDED 30 JUNE 2018 together with the INDEPENDENT AUDITOR S REVIEW REPORT INDEX
More informationAl-Mubarak SAR Trade Fund (Managed by Arab National Investment Company)
FINANCIAL STATEMENTS 31 DECEMBER BALANCE SHEET As at 31 December Notes ASSETS Bank balance 4 835,547 920,110 Murabaha placements 5 2,315,000,000 2,064,000,000 Held to maturity investments 6 280,000,000
More informationMEFIC IPO FUND Managed by MIDDLE EAST FINANCIAL INVESTMENT COMPANY UNAUDITED CONDENSED INTERIM FINANCIAL STATEMENTS FOR THE SIX-MONTH PERIOD ENDED 30
Managed by MIDDLE EAST FINANCIAL INVESTMENT COMPANY UNAUDITED CONDENSED INTERIM FINANCIAL STATEMENTS FOR THE SIX-MONTH PERIOD ENDED 30 JUNE 2018 together with the INDEPENDENT AUDITOR S REVIEW REPORT INDEX
More informationAl Yusr Aman Multi Asset Fund (Managed by Alawwal Invest Company, previously known as Saudi Hollandi Capital Company)
(Managed by Alawwal Invest Company, previously known as Saudi Hollandi Capital Company) UNAUDITED INTERIM FINANCIAL STATEMENTS 30 JUNE INTERIM BALANCE SHEET As at 30 June Note 30 June 31 December (Audited)
More informationTALEEM REIT FUND (Closed Ended Real Estate Investment Traded Fund) (MANAGED BY SAUDI FRANSI CAPITAL) Interim Financial Statements (UN-AUDITED) for
Interim Financial Statements (UN-AUDITED) for the period from 30 May 2017 to 30 June 2017 together with the Review Report to the Unitholders INTERIM BALANCE SHEET (UN-AUDITED) As at 30 June 2017 ASSETS
More informationSAIB Saudi IPO Fund (Managed by Alistithmar for Financial Securities and Brokerage Company)
(Managed by Alistithmar for Financial Securities and Brokerage Company) UNAUDITED INTERIM FINANCIAL STATEMENTS 30 JUNE INTERIM BALANCE SHEET As at 30 June ASSETS Note 30 June 31 December (Audited) 30
More informationNOMW IPO Fund (Managed by NOMW Capital)
NOMW IPO Fund (Managed by NOMW Capital) UNAUDITED INTERIM FINANCIAL STATEMENTS FOR THE SIX-MONTH PERIOD ENDED 30 JUNE 2017 INTERIM BALANCE SHEET As at 30 June 2017 30 June 2017 31 December (Audited) 30
More informationAl Yusr Mizan Multi Asset Fund (Managed by Alawwal Invest Company, previously known as Saudi Hollandi Capital Company)
(Managed by Alawwal Invest Company, previously known as Saudi Hollandi Capital Company) UNAUDITED INTERIM FINANCIAL STATEMENTS 30 JUNE INTERIM BALANCE SHEET As at 30 June Note 30 June 31 December (Audited)
More informationALBILAD INVESTMENT COMPANY (A Limited Liability Company) FINANCIAL STATEMENTS AND INDEPENDENT AUDITOR S REPORT FOR THE YEAR ENDED DECEMBER 31, 2015
FINANCIAL STATEMENTS AND INDEPENDENT AUDITOR S REPORT FOR THE YEAR ENDED DECEMBER 31, 2015 Financial statements for the year ended December 31, 2015 Pages Independent auditor s report 1 Balance sheet 2
More informationSaudi Equity Fund (Managed by Alawwal Invest Company, previously known as Saudi Hollandi Capital Company)
(Managed by Alawwal Invest Company, previously known as Saudi Hollandi Capital Company) UNAUDITED INTERIM FINANCIAL STATEMENTS 30 JUNE INTERIM BALANCE SHEET As at 30 June Note 30 June 31 December (Audited)
More informationAl Yusr Saudi Riyal Morabaha Fund (Managed by Alawwal Invest Company, previously known as Saudi Hollandi Capital Company)
(Managed by Alawwal Invest Company, previously known as Saudi Hollandi Capital Company) UNAUDITED INTERIM FINANCIAL STATEMENTS 30 JUNE INTERIM BALANCE SHEET As at Note 31 December (Audited) ASSETS Bank
More informationSaudi Financial Equity Fund (Managed by Alawwal Invest Company, previously known as Saudi Hollandi Capital Company)
(Managed by Alawwal Invest Company, previously known as Saudi Hollandi Capital Company) UNAUDITED INTERIM FINANCIAL STATEMENTS 30 JUNE INTERIM BALANCE SHEET As at 30 June Note 30 June 31 December (Audited)
More informationAl-Mubarak IPO Fund (Managed By Arab National Investment Company)
Al-Mubarak IPO Fund (Managed By Arab National Investment Company) INTERIM CONDENSED FINANCIAL STATEMENTS (UNAUDITED) 30 JUNE 2018 INTERIM CONDENSED STATEMENT OF FINANCIAL POSITION (UNAUDITED) As at 30
More informationBlom Saudi IPO Fund Interim Fund Report
Blom Saudi IPO Fund Interim Fund Report 30 June 2018 Mohamadiya Area, Al-Oula Building, 3rd Floor, King Fahd Road, Riyadh 11482, Saudi Arabia P.O. Box 8151 Tel: +966 11 4949555 Fax: +966 11 4949551 www.blom.sa
More informationINTERIM REPORT H HSBC Saudi Riyal Murabaha Fund -
INTERIM REPORT H1 2018 - HSBC Saudi Riyal Murabaha Fund - *FUND REPORTS ARE AVAILABLE UPON REQUEST FREE OF CHARGE Table of Contents A. Management Information... 3 B. Detailed Fundamental, Material, Notifiable,
More informationSAIB Sukuk Fund (Managed by Alistithmar for Financial Securities and Brokerage Company)
(Managed by Alistithmar for Financial Securities and Brokerage Company) UNAUDITED INTERIM FINANCIAL STATEMENTS 30 JUNE INTERIM BALANCE SHEET As at 30 June ASSETS Note 30 June 31 December (Audited) 30
More informationAlAhli IPO Fund Interim Report
A. Fund Manager AlAhli IPO Fund Interim Report 1. The Fund Manager is NCB Capital Company. Address: King Saud Road, P.O. Box 22216, Riyadh 11495, Kingdom of Saudi Arabia, Tel: +966 920000232 Fax +966 114060049
More informationALINMA BANK (A Saudi Joint Stock Company) INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS (UNAUDITED)
ALINMA BANK (A Saudi Joint Stock Company) INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS (UNAUDITED) FOR THE NINE MONTHS PERIOD ENDED SEPTEMBER 30, 2011 1 ALINMA BANK (A Saudi Joint Stock Company)
More informationHSBC MULTI-ASSETS BALANCED FUND
RESTRICTED An open-ended mutual fund Managed by HSBC Saudi Arabia Interim condensed Financial Statements Interim statement of financial position (Unaudited) Notes 30 June 2018 31 December 2017 1 January
More informationMEFIC IPO Fund June 30, 2017 التقرير النصف سنوي لصندوق ميفك للطروحات الا ولية
MEFIC IPO Fund June 30, 2017 التقرير النصف سنوي لصندوق ميفك للطروحات الا ولية Article 71 A Top Ten Holdings B Fee Details Name of Stock % Holding in the stock* Name % of Total NAV i Saudi Ground Services
More informationHSBC SAUDI CONSTRUCTION AND CEMENT COMPANIES EQUITY FUND
RESTRICTED HSBC SAUDI CONSTRUCTION AND CEMENT COMPANIES EQUITY FUND Managed by HSBC Saudi Arabia Interim condensed Financial Statements (Unaudited) Interim statement of financial position (Unaudited)
More informationHSBC MULTI-ASSETS GROWTH FUND
RESTRICTED An open-ended mutual fund Managed by HSBC Saudi Arabia Unaudited Interim Condensed Financial Statements Interim condensed statement of financial position (Unaudited) Notes 30 June 2018 31 December
More informationINTERIM FINANCIAL STATEMENTS AND LIMITED REVIEW REPORT FOR THE THREE AND NINE-MONTH PERIODS ENDED SEPTEMBER 30, 2012
INTERIM FINANCIAL STATEMENTS AND LIMITED REVIEW REPORT FOR THE THREE AND NINE-MONTH PERIODS ENDED SEPTEMBER 30, 2012 MT: Saudi Public Transport Company (fs.september 30, 2012) INTERIM FINANCIAL STATEMENTS
More informationALBILAD INVESTMENT COMPANY (A Limited Liability Company) FINANCIAL STATEMENTS AND INDEPENDENT AUDITOR S REPORT FOR THE YEAR ENDED DECEMBER 31, 2016
FINANCIAL STATEMENTS AND INDEPENDENT AUDITOR S REPORT FOR THE YEAR ENDED DECEMBER 31, 2016 Financial statements for the year ended December 31, 2016 Pages Independent auditor s report 1 Balance sheet 2
More informationAl-Arabi Balanced Fund (Managed by Arab National Investment Company)
(Managed by Arab National Investment Company) UNAUDITED INTERIM FINANCIAL STATEMENTS 30 JUNE BALANCE SHEET As at 30 June 30 June 31 December (Audited) 30 June Note ASSETS Bank balance 3,010 5,174 26,286
More informationHSBC SAUDI FREESTYLE EQUITY FUND
RESTRICTED Managed by HSBC Saudi Arabia Interim Condensed Financial Statements Interim statement of financial position (Unaudited) Notes 30 June 2018 31 December 2017 1 January 2017 ASSETS Cash and cash
More informationAl-Arabi Saudi Equity Fund (Managed by Arab National Investment Company)
FINANCIAL STATEMENTS 31 DECEMBER BALANCE SHEET As at 31 December Note ASSETS Bank balances 1,056,542 3,131,178 Trading investments 4 108,819,793 142,213,375 Dividend receivable 89,000 110,875 109,965,335
More informationSAIB Trade Finance Fund (Managed by Alistithmar for Financial Securities and Brokerage Company)
(Managed by Alistithmar for Financial Securities and Brokerage Company) FINANCIAL STATEMENTS 31 DECEMBER BALANCE SHEET As at 31 December Notes ASSETS Cash and cash equivalents 4 143,660,357 20,798,690
More informationHSBC SAUDI EQUITY INCOME FUND
RESTRICTED HSBC SAUDI EQUITY INCOME FUND Managed by HSBC Saudi Arabia Interim condensed Financial Statements Interim statement of financial position (Unaudited) Notes 30 June 2018 31 December 2017 1 January
More informationSaudi Riyal Money Market Fund (Managed by Alawwal Invest Company)
Saudi Riyal Money Market Fund (Managed by Alawwal Invest Company) INTERIM CONDENSED FINANCIAL STATEMENTS (UNAUDITED) FOR THE SIX-MONTH PERIOD ENDED 30 JUNE INTERIM CONDENSED STATEMENT OF FINANCIAL POSITION
More informationMUSHARAKA IPO FUND (Managed by Musharaka Capital Company) FINANCIAL STATEMENTS AND INDEPENDENT AUDITORS' REPORT FOR THE YEAR ENDED 31 DECEMBER 2017
FINANCIAL STATEMENTS AND INDEPENDENT AUDITORS' REPORT FINANCIAL STATEMENTS AND INDEPENDENT AUDITORS' REPORT Page Independent Auditors' Report 1-2 Balance Sheet 3 Statement of Income 4 Statement of Cash
More informationINTERIM REPORT H HSBC US Dollar Murabaha Fund -
INTERIM REPORT H1 2018 - HSBC US Dollar Murabaha Fund - *FUND REPORTS ARE AVAILABLE UPON REQUEST FREE OF CHARGE Table of Contents A. Management Information... 3 B. Detailed Fundamental, Material, Notifiable,
More informationBUPA ARABIA FOR COOPERATIVE INSURANCE COMPANY (A SAUDI JOINT STOCK COMPANY) INTERIM STATEMENT OF FINANCIAL POSITION As at 30 June 2017
BUPA ARABIA FOR COOPERATIVE INSURANCE COMPANY (A SAUDI JOINT STOCK COMPANY) INTERIM STATEMENT OF FINANCIAL POSITION As at 30 June 2017 INSURANCE OPERATIONS ASSETS Notes 30 June 2017 (Unaudited) 31 December
More informationMUSHARAKA IPO FUND (Managed by Musharaka Capital Company) FINANCIAL STATEMENTS AND AUDITORS' REPORT FOR THE YEAR ENDED 31 DECEMBER 2016
FINANCIAL STATEMENTS AND AUDITORS' REPORT FINANCIAL STATEMENTS AND AUDITORS' REPORT Page Auditors' Report 1 Balance Sheet 2 Statement of Income 3 Statement of Cash Flows 4 Statement of Changes in Net Assets
More informationBLOM MSCI Saudi Arabia Select Min Vol Fund (Managed by Blominvest Saudi Arabia)
BLOM MSCI Saudi Arabia Select Min Vol Fund (Managed by Blominvest Saudi Arabia) INTERIM CONDENSED FINANCIAL STATEMENTS (UNAUDITED) 30 JUNE 2018 INTERIM CONDENSED STATEMENT OF FINANCIAL POSITION (UNAUDITED)
More informationALINMA BANK (A Saudi Joint Stock Company) INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS FOR THE NINE MONTHS PERIOD ENDED SEPTEMBER 30, 2010
ALINMA BANK (A Saudi Joint Stock Company) INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS FOR THE NINE MONTHS PERIOD ENDED SEPTEMBER 30, (UNAUDITED) ALINMA BANK (A Saudi Joint Stock Company) INTERIM
More informationINTERIM REPORT H HSBC Saudi Freestyle Equity Fund -
INTERIM REPORT H1 2018 - HSBC Saudi Freestyle Equity Fund - *FUND REPORTS ARE AVAILABLE UPON REQUEST FREE OF CHARGE Table of Contents A. Management Information... 3 B. Detailed Fundamental, Material, Notifiable,
More informationINTERIM REPORT H HSBC Saudi 20 ETF -
INTERIM REPORT H1 2018 - HSBC Saudi 20 ETF - *FUND REPORTS ARE AVAILABLE UPON REQUEST FREE OF CHARGE Table of Contents A. Management Information... 3 B. Detailed Fundamental, Material, Notifiable, or Significant
More informationAlAhli Global Equity Fund Interim Report
AlAhli Global Equity Fund Interim Report A. Fund Manager 1. The Fund Manager is NCB Capital Company. Address: King Saud Road, P.O. Box 22216, Riyadh 11495, Kingdom of Saudi Arabia, Tel: +966 920000232
More informationAl-Arabi SAR Money Market Fund (Managed by Arab National Investment Company)
(Managed by Arab National Investment Company) FINANCIAL STATEMENTS 31 DECEMBER BALANCE SHEET As at 31 December Notes ASSETS Bank balance 4 404,235 72,335 Money market placements 5 81,800,000 53,100,000
More informationARAB NATIONAL INVESTMENT COMPANY (Closed Joint Stock Company) Financial Statements For the year ended 31 December 2017 together with the Independent
Financial Statements together with the Independent Auditor s Report BALANCE SHEET As at 31 December 2017 ASSETS Notes Current assets Cash and cash equivalents 4, 10 1,071,622,553 466,930,857 Receivable
More informationALINMA BANK (A Saudi Joint Stock Company) (UNAUDITED)
ALINMA BANK (A Saudi Joint Stock Company) (UNAUDITED) INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS FOR THE THREE MONTHS PERIOD ENDED MARCH 31, 2010 1 ALINMA BANK (A Saudi Joint Stock Company)
More informationBIDAYA HOME FINANCE COMPANY (A Saudi Closed Joint Stock Company) Condensed Interim Financial Statements (Unaudited) For the three-month and six-month
Condensed Interim Financial Statements For the three-month and six-month periods ended 30 June CONDENSED INTERIM STATEMENT OF FINANCIAL POSITION As at 30 June ASSETS Notes 30 June 31 December Cash and
More informationINTERIM REPORT H HSBC Saudi Financial Institutions Equity Fund -
INTERIM REPORT H1 2018 - HSBC Saudi Financial Institutions Equity Fund - *FUND REPORTS ARE AVAILABLE UPON REQUEST FREE OF CHARGE Table of Contents A. Management Information... 3 B. Detailed Fundamental,
More informationBlom MSCI Saudi Arabia Select Min Vol Fund Interim Fund Report
Blom MSCI Saudi Arabia Select Min Vol Fund Interim Fund Report 30 June 2018 Mohamadiya Area, Al-Oula Building, 3rd Floor, King Fahd Road, Riyadh 11482, Saudi Arabia P.O. Box 8151 Tel: +966 11 4949555 Fax:
More informationAXA CO-OPERATIVE INSURANCE COMPANY (A Saudi Joint Stock Company)
INTERIM CONDENSED FINANCIAL STATEMENTS FOR THE THREE-MONTH PERIOD AND YEAR ENDED DECEMBER 31, 2012 (UNAUDITED) AND INDEPENDENT AUDITORS LIMITED REVIEW REPORT INTERIM CONDENSED FINANCIAL STATEMENTS FOR
More informationSaudi Opportunities Fund INTERIM CONDENSED STATEMENT OF FINANCIAL POSITION (UNAUDITED) As at 30 June 2018 (All amounts in Saudi Riyal)
INTERIM CONDENSED STATEMENT OF FINANCIAL POSITION (UNAUDITED) As at 30 June 2018 (All amounts in Saudi Riyal) Notes 30 June 2018 31 December 2017 1 January 2017 ASSETS Cash and cash equivalents 7,064,450
More informationDALLAH HEALTH CARE HOLDING COMPANY (A Saudi Closed Joint Stock Company)
DALLAH HEALTH CARE HOLDING COMPANY INTERIM FINANCIAL STATEMENTS (UNAUDITED) FOR THE THREE-MONTH AND NINE-MONTH PERIODS ENDED SEPTEMBER 30, 2012 AND THE INDEPENDENT AUDITORS REVIEW REPORT DALLAH HEALTH
More informationAl-Mubarak IPO Fund (Managed by Arab National Investment Company)
FINANCIAL STATEMENTS For the period from 8 May 2016 to 31 December 2017 BALANCE SHEET As at 31 December 2017 Note 2017 ASSETS Bank balances 4,358,742 Trading investments 4 50,359,460 Dividend Receivable
More informationSALAMA COOPERATIVE INSURANCE COMPANY (A SAUDI JOINT STOCK COMPANY)
SALAMA COOPERATIVE INSURANCE COMPANY (A SAUDI JOINT STOCK COMPANY) UNAUDITED INTERIM CONDENSED FINANCIAL STATEMENTS FOR THE THREE-MONTH PERIOD ENDED 31 MARCH 2015 SALAMA COOPERATIVE INSURANCE COMPANY (A
More informationBank AlBilad (A Saudi Joint Stock Company) UNAUDITED INTERIM CONSOLIDATED FINANCIAL STATEMENTS FOR THE THREE-MONTH PERIOD ENDED MARCH 31, 2009
Bank AlBilad UNAUDITED INTERIM CONSOLIDATED FINANCIAL STATEMENTS FOR THE THREE-MONTH PERIOD ENDED MARCH 31, 2009 BANK ALBILAD CONSOLIDATED STATEMENT OF FINANCIAL POSITION ASSETS March December March 31,
More informationBANK ALJAZIRA (A Saudi Joint Stock Company)
BANK ALJAZIRA UNAUDITED INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS FOR THE NINE MONTHS ENDED 30 SEPTEMBER AND REVIEW REPORT INTERIM CONSOLIDATED STATEMENT OF FINANCIAL POSITION Notes 31 December
More informationBANK ALBILAD (A Saudi Joint Stock Company)
UNAUDITED INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS INTERIM CONSOLIDATED STATEMENT OF FINANCIAL POSITION Notes 30, 2017 SAR 000 (Unaudited) December 31, 2016 SAR 000 (Audited) (Restated) 30,
More informationSALAMA COOPERATIVE INSURANCE COMPANY (A SAUDI JOINT STOCK COMPANY)
SALAMA COOPERATIVE INSURANCE COMPANY (A SAUDI JOINT STOCK COMPANY) UNAUDITED INTERIM CONDENSED FINANCIAL STATEMENTS FOR THE THREE-MONTH AND TWELVE-MONTH PERIODS ENDED 31 DECEMBER 2017 SALAMA COOPERATIVE
More informationBUPA ARABIA FOR COOPERATIVE INSURANCE COMPANY (A SAUDI JOINT STOCK COMPANY) INTERIM CONDENSED FINANCIAL STATEMENTS (UNAUDITED)
INTERIM CONDENSED FINANCIAL STATEMENTS (UNAUDITED) FOR THE THREE-MONTH AND NINE-MONTH PERIODS ENDED 30 SEPTEMBER 2018 UNAUDITED INTERIM CONDENSED FINANCIAL STATEMENTS AS AT 30 SEPTEMBER 2018 INDEX PAGE
More informationALISTITHMAR FOR FINANCIAL SECURITIES AND BROKERAGE COMPANY (A SAUDI CLOSED JOINT STOCK COMPANY)
ALISTITHMAR FOR FINANCIAL SECURITIES AND BROKERAGE COMPANY (A SAUDI CLOSED JOINT STOCK COMPANY) FINANCIAL STATEMENTS FOR THE PERIOD FROM MARCH 10, TO DECEMBER 31, AND INDEPENDENT AUDITORS REPORT FINANCIAL
More informationMETLIFE, AMERICAN INTERNATIONAL GROUP AND ARAB NATIONAL BANK COOPERATIVE INSURANCE COMPANY (A SAUDI JOINT STOCK COMPANY)
METLIFE, AMERICAN INTERNATIONAL GROUP AND ARAB NATIONAL BANK COOPERATIVE INSURANCE COMPANY (A SAUDI JOINT STOCK COMPANY) INTERIM CONDENSED FINANCIAL STATEMENTS (UNAUDITED) AND INDEPENDENT AUDITORS' LIMITED
More informationALISTITHMAR FOR FINANCIAL SECURITIES AND BROKERAGE COMPANY (A Saudi Closed Joint Stock Company)
ALISTITHMAR FOR FINANCIAL SECURITIES AND BROKERAGE COMPANY FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2016 AND INDEPENDENT AUDITORS REPORT FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31,
More informationALISTITHMAR FOR FINANCIAL SECURITIES AND BROKERAGE COMPANY (A Saudi Closed Joint Stock Company)
ALISTITHMAR FOR FINANCIAL SECURITIES AND BROKERAGE COMPANY FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2017 AND INDEPENDENT AUDITORS REPORT FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31,
More informationAl Mubarak Diyar Jeddah Real Estate Fund (Managed by Arab National Investment Company)
(Managed by Arab National Investment Company) UNAUDITED INTERIM FINANCIAL STATEMENTS 30 JUNE BALANCE SHEET As at Note 30 June 31 December 30 June ASSETS Bank balance 55,466 1,021,053 6,025,065 Trading
More informationBANK ALBILAD (A Saudi Joint Stock Company)
UNAUDITED INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS INTERIM CONSOLIDATED STATEMENT OF FINANCIAL POSITION Notes 30, 2017 SAR 000 (Unaudited) December 31, 2016 SAR 000 (Audited) (Restated) 30,
More informationHSBC SUKUK FUND (An open-ended mutual fund) Interim condensed statement of financial position (Unaudited) (Amounts in US Dollars) Note
RESTRICTED An open-ended mutual fund Managed by HSBC Saudi Arabia Interim Condensed Financial Statements Interim condensed statement of financial position (Unaudited) Note 30 June 2018 31 December 2017
More informationAL RAJHI BANKING AND INVESTMENT CORPORATION (SAUDI JOINT STOCK COMPANY)
AL RAJHI BANKING AND INVESTMENT CORPORATION INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS (UNAUDITED) FOR THE THREE MONTHS PERIOD ENDED MARCH 31, INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS
More informationTHE SAUDI INVESTMENT BANK (A Saudi joint stock company)
INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS For the six month period ended June 30, 2015 (Unaudited) INTERIM CONDENSED CONSOLIDATED STATEMENT OF FINANCIAL POSITION ASSETS June 30, Dec. 31, June
More informationSAIB Saudi Equity Fund (Managed by Alistithmar for Financial Securities and Brokerage Company)
(Managed by Alistithmar for Financial Securities and Brokerage Company) FINANCIAL STATEMENTS 31 DECEMBER BALANCE SHEET As at 31 December Note ASSETS Bank balances 664,255 3,483,946 Trading investments
More informationSAMBA FINANCIAL GROUP INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS AND AUDITORS' REVIEW REPORT
SAMBA FINANCIAL GROUP INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS AND AUDITORS' REVIEW REPORT FOR THE NINE MONTH PERIOD ENDED SEPTEMBER 30, 2013 SAMBA FINANCIAL GROUP Page 3 STATEMENTS OF CONSOLIDATED
More informationAL RAJHI BANKING AND INVESTMENT CORPORATION
AL RAJHI BANKING AND INVESTMENT CORPORATION INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS FOR THE THREE-MONTH PERIOD ENDED MARCH 31, 2012 (UNAUDITED) AL RAJHI BANKING AND INVESTMENT CORPORATION
More informationALJAZIRA CAPITAL COMPANY. CONSOLIDATED FINANCIAL STATEMENTS For the year ended 31 December 2015 INDEPENDENT AUDITORS REPORT
ALJAZIRA CAPITAL COMPANY (A Saudi Closed Joint Stock Company) CONSOLIDATED FINANCIAL STATEMENTS together with the INDEPENDENT AUDITORS REPORT 2 3 CONSOLIDATED BALANCE SHEET Note ASSETS Current assets Cash
More informationFINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2016 AND INDEPENDENT AUDITORS REPORT
FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2016 AND INDEPENDENT AUDITORS REPORT FINANCIAL STATEMENTS FOR THE YEAR ENDED DECEMBER 31, 2016 Page Independent auditors report 2 Balance sheet 3 Income
More informationWalaa Cooperative Insurance Company (A Saudi Joint Stock Company) Interim Condensed Financial Information (Unaudited)
Walaa Cooperative Company Interim Condensed Financial Information (Unaudited) September 30, 2018 (A SAUDI JOINT STOCK COMPANY) INTERIM CONDENSED FINANCIAL INFORMATION (UNAUDITED) INDEX PAGE Independent
More informationBANK ALBILAD (A Saudi Joint Stock Company)
UNAUDITED INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS FOR THE THREE-MONTHS PERIOD ENDED MARCH 31, 2017 INTERIM CONSOLIDATED STATEMENT OF FINANCIAL POSITION Notes 31, 2017 SAR 000 (Unaudited)
More informationBUPA ARABIA FOR COOPERATIVE INSURANCE COMPANY (A SAUDI JOINT STOCK COMPANY) UNAUDITED INTERIM CONDENSED FINANCIAL STATEMENTS
UNAUDITED INTERIM CONDENSED FINANCIAL STATEMENTS FOR THE THREE-MONTH PERIOD ENDED 31 MARCH 2018 UNAUDITED INTERIM CONDENSED FINANCIAL STATEMENTS AS AT 31 MARCH 2018 INDEX PAGE Independent Auditors Review
More informationAl-Arabi Balanced Fund (Managed by Arab National Investment Company)
FINANCIAL STATEMENTS 31 DECEMBER BALANCE SHEET As at 31 December Note ASSETS Bank balance 18,362 6,823 Trading investments 4 1,588,626 4,551,058 1,606,988 4,557,881 LIABILITY Accrued expenses 5,640 3,867
More informationSAMBA FINANCIAL GROUP INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS AND AUDITORS' REVIEW REPORT
SAMBA FINANCIAL GROUP INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS AND AUDITORS' REVIEW REPORT FOR THE SIX MONTH PERIOD ENDED JUNE 30, 2013 SAMBA FINANCIAL GROUP Page 3 STATEMENTS OF CONSOLIDATED
More informationMETLIFE, AMERICAN INTERNATIONAL GROUP AND ARAB NATIONAL BANK COOPERATIVE INSURANCE COMPANY (A SAUDI JOINT STOCK COMPANY)
METLIFE, AMERICAN INTERNATIONAL GROUP AND ARAB NATIONAL BANK COOPERATIVE INSURANCE COMPANY (A SAUDI JOINT STOCK COMPANY) INTERIM CONDENSED FINANCIAL STATEMENTS (UNAUDITED) AND INDEPENDENT AUDITORS' LIMITED
More informationBANK ALBILAD (A Saudi Joint Stock Company)
UNAUDITED INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS FOR THE NINE-MONTHS PERIOD ENDED SEPTEMBER 30, 2016 INTERIM CONSOLIDATED STATEMENT OF FINANCIAL POSITION Notes 30, 2016 SAR 000 (Unaudited)
More informationDAR AL ARKAN REAL ESTATE DEVELOPMENT COMPANY SAUDI JOINT STOCK COMPANY
DAR AL ARKAN REAL ESTATE DEVELOPMENT COMPANY INTERIM CONSOLIDATED FINANCIAL STATEMENTS AND AUDITORS LIMITED REVIEW REPORT FOR THE THREE-MONTH PERIOD AND YEAR ENDED 31 DECEMBER INTERIM CONSOLIDATED FINANCIAL
More informationSAUDI REINSURANCE COMPANY (A SAUDI JOINT STOCK COMPANY)
SAUDI REINSURANCE COMPANY (A SAUDI JOINT STOCK COMPANY) UNAUDITED INTERIM CONDENSED FINANCIAL STATEMENTS AND INDEPENDENT AUDITORS REVIEW REPORT FOR THE THREE AND TWELVE MONTH PERIODS ENDED 31 DECEMBER
More informationBANK ALBILAD (A Saudi Joint Stock Company)
UNAUDITED INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS FOR THE THREE-MONTHS PERIOD ENDED MARCH 31, 2014 INTERIM CONSOLIDATED STATEMENT OF FINANCIAL POSITION Notes 31, 2014 SAR 000 (Unaudited)
More informationTHE SAUDI INVESTMENT BANK (A Saudi joint stock company)
INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS For the three month and six month periods ended (Unaudited) INTERIM CONDENSED CONSOLIDATED STATEMENT OF FINANCIAL POSITION ASSETS December 31, Notes
More informationFinancial Statements. For the year ended 31 December 2010
Financial Statements For the year ended 31 December 2010 Kpmg Al Fozan & Al Sadhan Al Dainy Plaza Al Madinah Road P. O. Box 55078 Jeddah 21534 Kingdom Of Saudi Arabia Telephone +966 2 658 1616 Fax +966
More informationANNUAL REPORT - HSBC Saudi Riyal Murabaha Fund
ANNUAL REPORT - HSBC Saudi Riyal Murabaha Fund - 2016 *FUND REPORTS ARE AVAILABLE UPON REQUEST FREE OF CHARGE Table of Contents A. MANAGEMENT INFORMATION... 3 C. FUND PERFORMANCE... 4 D. FUND MANAGER...
More informationBank AlBilad (A Saudi Joint Stock Company) UNAUDITED INTERIM CONDENSED
Bank AlBilad UNAUDITED INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS FOR THE THREE AND SIX-MONTH PERIODS ENDED JUNE 30, 2009 AND 2008 CONSOLIDATED STATEMENT OF FINANCIAL POSITION AS AT JUNE 30, 2009
More informationMOBILE TELECOMMUNICATIONS COMPANY SAUDI ARABIA (A SAUDI JOINT STOCK COMPANY)
SAUDI ARABIA UNAUDITED INTERIM FINANCIAL STATEMENTS AND AUDITORS' REVIEW REPORT FOR THE THREE AND NINE MONTHS PERIOD ENDED SEPTEMBER 30, 2012 SAUDI ARABIA UNAUDITED INTERIM FINANCIAL STATEMENTS AND AUDITORS'
More informationMORGAN STANLEY SAUDI ARABIA
MORGAN STANLEY SAUDI ARABIA The Morgan Stanley Saudi Equity Fund Semi-Annual Report 2018 IFR, Article 71 (C) MORGAN STANLEY SAUDI EQUITY FUND SEMI-ANNUAL REPORT 30 JUNE 2018 1 Table of Contents Fund Directory...
More informationSaudi Finance Company (Closed Saudi Joint Stock Company)
Saudi Finance Company (Closed Saudi Joint Stock Company) INTERIM CONDENSED FINANCIAL STATEMENTS AND INDEPENDENT AUDITOR S LIMITED REVIEW REPORT FOR THE THREE AND NINE MONTH PERIODS ENDED 30 SEPTEMBER INTERIM
More informationBANK ALBILAD (A Saudi Joint Stock Company)
UNAUDITED INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS FOR THE NINE-MONTHS PERIOD ENDED SEPTEMBER 30, 2014 INTERIM CONDENSED CONSOLIDATED STATEMENT OF FINANCIAL POSITION Notes 30, 2014 (Unaudited)
More informationSAMBA FINANCIAL GROUP
INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS FOR THE NINE MONTH PERIOD ENDED September 30, 2017 INTERIM STATEMENTS OF CONSOLIDATED COMPREHENSIVE INCOME Three months ended Nine months ended Sep
More informationBANK ALBILAD (A Saudi Joint Stock Company)
UNAUDITED INTERIM CONDENSED CONSOLIDATED FINANCIAL STATEMENTS FOR THE THREE-MONTHS PERIOD ENDED MARCH 31, 2015 INTERIM CONDENSED CONSOLIDATED STATEMENT OF FINANCIAL POSITION Notes 31, 2015 SAR 000 (Unaudited)
More information