Portfolio
20 assets · NAV from latest valuations.
Holdings
20
assets in view
Stake NAV
316.25M SAR
ownership-adjusted
Cost Basis
19.49M SAR
from transactions
Capital Gain
+1522.8%
296.76M SAR
Drill-down
Asset Type → Wealth Bucket → Asset Class → Subtype → individual asset. Click any row to expand.
Group
Assets
Stake NAV
% of Total
Gain
›TYPEReal Estate18162.50M SAR51.4%+822.6%
51.4%
›BUCKETInvestment797.91M SAR60.3%+455.9%
60.3%
›CLASSSAPO RE - KSA363.35M SAR64.7%+484.5%
64.7%
›SUBMixed-Use Development160.00M SAR94.7%+500.0%
94.7%
›SUBApartment23.35M SAR5.3%+299.6%
5.3%
›CLASSSAPO RE - Global434.56M SAR35.3%+410.2%
35.3%
›BUCKETPrivate764.59M SAR39.7%—
39.7%
›CLASSPrivate RE - Global764.59M SAR100.0%—
100.0%
›SUBApartment764.59M SAR100.0%—
100.0%
·London Flat - 46· United Kingdom
—
19.53M SAR
30.2%
—
·Shoreline 8 - 905 (Palm Jumeirah)· United Arab Emirates
—
15.31M SAR
23.7%
—
·Shoreline 8 - 906 (Palm Jumeirah)· United Arab Emirates
—
6.64M SAR
10.3%
—
·London Flat - 25· United Kingdom
—
6.49M SAR
10.0%
—
·London Flat - 26· United Kingdom
—
6.04M SAR
9.4%
—
·London Flat - 15· United Kingdom
—
5.58M SAR
8.6%
—
·Nile Apartment· Egypt
—
5.00M SAR
7.7%
—
›BUCKETRelatives40 SAR0.0%—
0.0%
›CLASSPrivate RE - Global10 SAR0.0%—
0.0%
›SUBApartment10 SAR0.0%—
0.0%
›CLASSPrivate RE - KSA30 SAR0.0%—
0.0%
›TYPEBusiness2153.75M SAR48.6%+8096.0%
48.6%
›BUCKETInvestment2153.75M SAR100.0%+8096.0%
100.0%
›CLASSInvestment Fund2153.75M SAR100.0%+8096.0%
100.0%
›SUBHedge Fund1142.50M SAR92.7%+7496.3%
92.7%
›SUBVenture Capital Fund111.25M SAR7.3%—
7.3%