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Market: Tadawul Symbol: 1111 ISIN: SA15DHKGHBH4 Industry: Financials

On the 19th of March 2007, the Council of Ministers approved the formation of The Saudi Stock Exchange (Tadawul). This was in accordance with Article-20 of the Capital Market Law establishing Tadawul as a joint stock company. Tadawul is the sole entity authorized in the Kingdom of Saudi Arabia to act as the Securities Exchange (the Exchange). It mainly carries out listing and trading in securities, as well as deposit, transfer, clearing, settlement, and registry of ownership of securities traded on the Exchange. The legal status, duties, and responsibilities of the Exchange and Depository Center are explicitly defined in the Capital Market Law (CML) issued by Royal Decree Number (M/30), dated on June 16, 2003. The Exchange is also the official source of all market information.

The capital of Tadawul is SAR 1,200,000,000 divided into (120,000,000) shares of equal value of SAR 10; all of which are cash shares subscribed by the Public Investment Fund. Tadawul is an affiliate member of the International Organization of Securities Commissions (IOSCO), the World Federation of Exchanges (WFE), and the Arab Federation of Exchanges (AFE).

Share data 01/12/2022
Currency SAR Volume 472,460
Previous Close 171.00 Number of Shares (Mn) 120.00
Change (%) -0.58 Market Cap (Mn) 20,520.00
Key Figures (SAR) 2019 2020 2021
Consolidated statement of profit or loss and other comprehensive income      
Operating revenue 564,747,899 1,079,635,090 1,166,080,140
Gross profit 238,619,783 754,401,972 820,688,541
Operating profit 41,659,174 543,158,794 611,833,957
Profit for the year 153,293,786 584,080,144 653,926,891
Consolidated statement of financial position      
Total assets 3,546,830,098 4,093,085,450 3,543,343,580
Total liabilities 287,424,854 458,463,071 450,902,674
Total equity 3,259,405,244 3,634,622,379 3,092,440,906
Consolidated statement of cash flows      
Net cash generated from operating activities 54,179,954 615,433,959 591,551,531
Net cash used in investing activities (7,286,389) (654,547,300) 521,608,113
Net cash used in financing activities (141,584,616) (132,576,150) (1,133,760,562)
Profitability ratios      
Return on equity, % 4.72 16.94 19.44
Return on assets, % 4.33 15.29 17.13
Earnings per share 1.28 4.17 4.90