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Investor Awareness

Circulars to Fund Unit Holders

17/07/2025
Announcement by Al Rajhi Capital regarding the distributions of fund’s dividends to the unitholders of Al Rajhi REIT Fund
 
Al Rajhi Capital announces the distribution of cash ‎dividends to the unitholders of Al Rajhi REIT Fund for ‎the period 1st April 2025 to 30th June 2025 as ‎follows:‎

 

  • Earnings accrual period is the 2nd Quarter of the year 2025G
  • Total distributed dividends 33,072,899.76‎ SAR
  • Cash distributions shall be based on ‎275,607,498 units
  • The amounts of dividends distributed is ‎0.12‎ SAR per unit
  • The distribution ratio is ‏1.37‏% of the net asset value as on 31/12/2024G corresponding to 30/06/1446H.
  • Cash distribution entitlements to unitholders shall be based on the unitholder register on the end of 31/07/2025G corresponding to 06/02/1447H
  • The cash dividend will be distributed within 15 working days following the cash Distribution date Entitlements to Unitholders Shall be Based on the Unitholder Register.
  • General clarifications

     

  • Net Asset Value based on Fair Value as of 31/12/2024G corresponding to 30/06/1446H
  • Eligibility of dividends shall be for unitholders in the register per Tadawul records as of 06/02/1447H corresponding to Thursday 31st July, 2025 (end of trading day on 04/02/1447H corresponding to Tuesday 29th July, 2025
  • Dividend per Unit = SAR 0.12; dividend represents 1.2% of the Par value
  • The Fund Manager would like to remind the unitholders to update their information with Capital Market Institution, where their accounts are being held, to ensure the direct deposit of their due distributions.‎
     

     

     

     

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