Musharaka Murabahat & Sukuk Fund
The Murabaha and Sukuk Musharaka Fund is designed to protect investors’ funds and, at the same time, achieve a higher percentage of returns in the short and medium term by investing in Murabaha and Sukuk of all types and similar funds.
Annual return (since the beginning of the year)
4.57 %Unit price (as of 20 Aug 2025)
11.7616 SARMain Information
Fund Type
Open Equity Fund
Change (since inception)
17.6160 %
Administrative fees
0.45%
Fund Capital (as of 20 Aug 2025)
49,935,330.60 SAR
Evaluation days
Any working day from Sunday to Thursday, excluding official holidays
Terms & Conditions
Reports
You can download it from the Saudi Shares Fund
Fund News
Show all Fund NewsMusharaka Capital Company announces the availability of Musharaka REIT Fund’s semi-annual valuation reports as of 30- June- 2025
12 August 2025Musharaka Capital announces the availability of Musharaka REIT Fund’s semi-annual valuation reports as of 30/ 06/2025. The valuation was conducted by Wasm United Real Estate Valuation Company, Abaad for Real Estate Valuation, ValuStrat Real Estate Valuation Services, LLC, and JLL Valuation LLC, who are all independent and licensed valuers, registered…
Musharaka Capital Company announces distribution cash dividends to the Musharaka REIT Fund shareholders for the period from January 01, 2025 to June 30,2025
11 August 2025Musharaka Capital Company announces distributing cash dividends to Musharaka REIT Fund shareholders for the period from January 01 to June 30,2025 Type of distribution: Cash dividends Dividends maturity period: The dividend distributions will be due to the shareholders according to the registration of the share ownership at the end of…
Announcement by Musharaka Capital Company for providing the public with the interim financial statements of Musharaka REIT Fund ’s for the period ending on (30-06-2025)
10 August 2025Musharaka Capital Company Announces that the Interim Financial statements of Musharaka REIT Fund for the Period ending on 30-06-2025, The following is the summary of interim financial results of the period: Net Assets at the End of the Period: 719,788,387 SR Total Expenses and Fees for the Period: 38,828,751 SR…
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