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

Saudi Tadawul Group Holding Company was established as Saudi closed joint stock company registered in the Kingdom of Saudi Arabia under Commercial Registration number 1010241733 dated 2/12/1428H (corresponding to 12 December 2007G). The Company was established by the Royal Decree No. M/15 dated 01/03/1428H (corresponding to 20 March 2007G) and the Minister of Commerce resolution no. 320/k dated 1/12/1428H (corresponding to 11 December 2007G). Since its incorporation, the authorized, issued, and fully paid-up share capital of the Company is SAR 1,200 million divided into 120 million ordinary shares of SAR 10 each and is fully subscribed by the Public Investment Fund (PIF). The Company was converted into a holding company on 08/10/1442H (corresponding to 20 May 2021G) pursuant to the resolution of the Extraordinary General Assembly of the Company in its meeting dated 24/08/1442H (corresponding to 6 April 2021G). The (PIF) has sold 30% of its shares in The Company. The Company''s registered address as per its Commercial Registration is 6897 King Fahd Road - Al Olaya Unit Number: 15 Riyadh 12211-3388, Kingdom of Saudi Arabia.

Share data 28/11/2023
Currency SAR Volume 84,443
Previous Close 181.00 Number of Shares (Mn) 120.00
Change (%) 0.89 Market Cap (Mn) 21,720.00
Key Figures (SAR) 2020 2021 2022
Consolidated statement of profit or loss and other comprehensive income      
Operating revenue 1,079,635,090 1,166,080,140 1,071,429,658
Gross profit 754,401,972 834,293,402 683,703,744
Operating profit 543,158,794 613,572,929 427,117,762
Profit for the year 584,080,144 653,926,891 492,288,738
Consolidated statement of financial position      
Total assets 4,093,085,450 3,543,343,580 7,690,046,901
Total liabilities 458,463,071 450,902,674 4,510,357,074
Total equity 3,634,622,379 3,092,440,906 3,179,689,827
Consolidated statement of cash flows      
Net cash generated from operating activities 615,433,959 591,537,930 470,399,431
Net cash (used in) / generated from investing activities (654,547,300) 521,621,714 1,934,544,594
Net cash used in financing activities (132,576,150) (1,133,760,562) (372,315,387)
Profitability ratios      
Return on equity, % 16.94 19.44 15.70
Return on assets, % 15.29 17.13 8.76
Earnings per share 4.17 4.90 3.54