Riyad REIT Fund Releases Semiannual Asset Valuation Reports 2026

RIYAD REIT

RIYAD REIT

4330.SA

0.00

Element List Explanation
Introduction Riyad Capital announces that semiannual evaluation reports of the assets of Riyad REIT Fund for the period ending on 2026-06-30 , corresponding to ,1448-01-15 prepared by Accreditied Valuer / Valuers are available, according to the policy of Fund Asset Evaluation stated in the Terms and Conditions.

A copy of the reports can be found in the attachments

Original announcement:

https://www.saudiexchange.sa/wps/portal/saudiexchange/newsandreports/issuer-news/issuer-announcements/issuer-announcements-details/?anId=97782&anCat=1&cs=4330&locale=ar

Attached PDF document link:

https://www.saudiexchange.sa/Resources/fsPdf/19174_821_2026-08-25_12-32-37_en.pdf

Note: The original announcement does not explicitly specify a currency unit. Figures above are reproduced as-is. Please refer to the original announcement for details.

Important Notice: The announcement information and market data in this report are sourced directly from the Saudi Exchange (Tadawul). This summary is generated by Sahm’s proprietary AI model for informational purposes only. While we strive for accuracy, it should not be construed as financial advice or an investment recommendation.