Family Office

Consolidated portfolio & reporting

Portfolio

10 assets · NAV from latest valuations.

Holdings
10
assets in view
Stake NAV
225.40M SAR
ownership-adjusted
Cost Basis
36.67M SAR
from transactions
Capital Gain
+514.6%
188.72M SAR

Drill-down

Asset Type → Wealth Bucket → Asset Class → Subtype → individual asset. Click any row to expand.

2 types
Group
Assets
Stake NAV
% of Total
Gain
TYPEBusiness
6
186.84M SAR
82.9%
+9859.8%
BUCKETInvestment
6
186.84M SAR
100.0%
+9859.8%
CLASSInvestment Fund
3
159.84M SAR
85.5%
+8420.5%
SUBHedge Fund
1
142.50M SAR
89.2%
+7496.3%
SUBVenture Capital Fund
1
11.25M SAR
7.0%
SUBPrivate Equity Fund
1
6.09M SAR
3.8%
CLASSLegacy
3
27.00M SAR
14.5%
TYPEReal Estate
4
38.56M SAR
17.1%
+10.8%
BUCKETInvestment
2
38.56M SAR
100.0%
+10.8%
CLASSSAPO RE - KSA
2
38.56M SAR
100.0%
+10.8%
BUCKETPrivate
1
0 SAR
0.0%
CLASSPrivate RE - KSA
1
0 SAR
0.0%
SUBOffice Building
1
0 SAR
0.0%
BUCKETRelatives
1
0 SAR
0.0%
CLASSPrivate RE - Global
1
0 SAR
0.0%
SUBOffice Building
1
0 SAR
0.0%