Market: Tadawul | Symbol: 4320 | ISIN: SA13U0923G19 | Industry: Real Estate Development |
Alandalus Property Company is a Saudi Joint Stock Company under the Commercial Registration No. 1010224110 dated 17/9/1427 H (corresponding to 10/10/2006) and the Ministerial Decision No. 2509 dated 03/09/1427 H (corresponding to 26/09/2006). Was established as a Saudi closed shareholding company with a capital of two hundred and thirty-eight million nine hundred thousand (238,900,000) Saudi Riyals. Currently the capital is Nine hundred and thirty three million three hundred thirty-three thousand three hundred and thirty Saudi riyals (933,333,330) Saudi riyals, divided into 93,333,333 ordinary shares. In 2015, 30% of the company’s shares were offered for public subscription. The number of shares offered was 21 million ordinary shares with a nominal value of SR 10 per share.
• Alandalus Property is a leading company in the field of investment, development and operation of commercial income-generating properties throughout the Kingdom. The main activity of the company is currently concentrated in:
1. Retail properties including commercial centers and Community shopping centers
2. Hospitality
Share data | 29/04/2025 |
Currency | SAR |
Previous Close | 22.42 |
Change (%) | -0.27 |
Volume | 46,302 |
Number of Shares | 93,333,333 |
Market Cap | 2,092,533,325.86 |
Key Figures (SAR) |
2022 | 2023 | 2024 |
---|---|---|---|
Income Statement | |||
Revenue | 216,108,228 | 215,155,987 | 235,887,525 |
Gross profit | 142,408,337 | 137,705,068 | 145,147,483 |
Operating profit | 127,266,533 | 106,789,357 | 47,455,782 |
(Loss)/ profit for the year | 87,293,722 | 48,659,139 | (23,738,250) |
Balance Sheet | |||
Total assets | 2,055,006,927 | 2,259,446,119 | 2,260,866,724 |
Total equity | 1,250,464,447 | 1,228,509,729 | 1,159,589,743 |
Total liabilities | 804,542,480 | 1,030,936,390 | 1,101,276,981 |
Cash Flows | |||
Net cash from operating activities | 114,145,948 | 153,365,653 | 148,809,845 |
Net cash from investing activities | (86,714,595) | (203,102,969) | (211,236,069) |
Net cash generated from/(used in) financing activities | (89,054,220) | 87,539,808 | (68,634,026) |
Cash and cash equivalents at end of the year | 139,138,373 | 176,940,865 | 45,880,615 |
Earnings per Share | |||
Basic and diluted (loss)/earnings per share | 0.72 | 0.39 | (0.34) |