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Retal Urban Development Co.

4322
RETAL
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  • Main Market
  • Real Estate Mgmt & Dev't     

Stats Overview

  • Prev. Close 17.00
  • Open 17.00
  • High 17.10
  • Low 16.66
  • No. of Trades 1,581
  • Avg. Trade size* 292
  • Volume Traded 461,163
  • Value Traded (SAR) 7,804,040.56

Performance

RETAL
0.06 ( 0.35% )
Compare
Name Price Change %
Retal Urban Development Co. 17.00 0.35%
Note: Prices are delayed minimum 5 minutes
  • *Average Trade Size = Cumulative / # of Trades
  • **52 Week Price Change =   (Current Price - Price year ago) / Price year ago x 100
  • Historical prices & volume traded data are adjusted to account for all corporate actions.
  • MO: Market Order

Trade Updates

Last Trade

Price
17.06
% Change
0.35
Volume Traded
409

Best Bid

Price 16.98
Volume 100

Best Offer

Price 17.06
Volume 4,713

52 WEEK

High
17.98
2024/12/05
Low
8.30
2024/01/22
Change**
104.8

PERFORMANCE

Start of Year
16.2
Year ago
8.33
3 Years ago

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Announcements

  • Retal Urban Development Co. announces the opening of nominations for membership of its next Board of Directors session

    4322
    RETAL 0.35 %
    1446/07/16     16/01/2025 08:29:43
  • Retal Urban Development Company announces the signing of a contract with Building Construction Company (subsidiary owned by 80%) to construct 285 residential units in Riyadh city

    4322
    RETAL 0.35 %
    1446/07/08     08/01/2025 08:07:53
  • Retal urban development Company announces receiving a notice of liquidation that started with respect to Business Park Fund that the company is developing and owns a 18.82% of the total fund’s units

    4322
    RETAL 0.35 %
    1446/07/01     01/01/2025 08:17:33
  • Retal Urban Development Company announces the signing of a contract with Building Construction Company (subsidiary) to construct 502 residential units in Riyadh city

    4322
    RETAL 0.35 %
    1446/06/16     17/12/2024 08:01:10
  • Retal Urban Development Co. announces the Board of Directors’ recommendation to transfer the balance of the statutory reserve and the reserve for change in ownership interests to the balance of retained earnings

    4322
    RETAL 0.35 %
    1446/05/29     01/12/2024 08:06:34
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Corporate Actions

Upcoming Events

    Past Events

      Jump To :
      • Announcements & Corporate Actions
      • Dividends
      • Financials
      • Shareholding
      • Peer Comparison
      • Company Profile

      Dividends

      Announced Date Eligibility Date Distribution Date Distribution Way Dividend Amount
      31/07/2024 29/09/2024 10/10/2024 Account Transfer 0.16
      28/02/2024 05/05/2024 16/05/2024 Account Transfer 0.16
      01/08/2023 28/09/2023 10/10/2023 Account Transfer 0.16
      01/03/2023 02/05/2023 11/05/2023 Account Transfer 3.00
      09/08/2022 29/09/2022 12/10/2022 Account Transfer 2.00

      CompanyProfilev2Financials

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      Financials

      • FINANCIAL INFORMATION
      • FINANCIAL STATEMENTS AND REPORTS
      • Annually
      • Quarterly
      Balance Sheet 2023-12-31
      Total Assets
      3,632,115.04
      - - -
      Total Liabilities
      2,882,264.02
      - - -
      Total Shareholders Equity (After Deducting the Minority Equity)
      742,518.41
      - - -
      Total Liabilities and Shareholders Equity
      3,632,115.04
      - - -
      Statement of Income 2023-12-31
      Total Revenue (Sales/Operating)
      1,367,125.19
      - - -
      Net Profit (Loss) before Zakat and Tax
      218,144.86
      - - -
      Zakat and Income Tax
      -10,203.59
      - - -
      Net Profit (Loss) after Zakat and Tax
      202,350
      - - -
      Total Comprehensive Income
      199,945.72
      - - -
      Profit (Loss) per Share
      0.4
      - - -
      Cash Flows 2023-12-31
      Net Cash From Operating Activities
      -148,309.61
      - - -
      Net Cash From Investing Activities
      -86,732.27
      - - -
      Net Cash From Financing Activities
      417,950.33
      - - -
      Cash and Cash Equivalents, Beginning of the Period
      24,136.91
      - - -
      Cash and Cash Equivalents, End of the Period
      54,733.54
      - - -
      All Figures in Thousands
      All Currency In SAR
      Last Update Date 2024-02-29

      The Capital Market Authority and Saudi Exchange take no responsibility for the contents of this disclosure, make no representations as to its accuracy or completeness, and expressly disclaim any liability whatsoever for any loss arising from, or incurred in reliance upon, any part of this disclosure, and the issuer accepts full responsibility for the accuracy of the information contained in it and confirms, having made all reasonable enquiries, that to the best of their knowledge and belief, there are no other facts or information the omission of which would make the disclosure misleading, incomplete or inaccurate. The above information does not replace detailed financial statements, as detailed financial statements are the reliable source that must be consulted to obtain accurate financial information.

      Balance Sheet 2024-09-30 2024-06-30 2024-03-31 2023-09-30
      Total Assets
      3,975,998
      4,014,829
      3,843,164
      3,318,600
      Total Liabilities
      3,209,810
      3,210,903
      3,115,749
      2,614,392
      Total Shareholders Equity (After Deducting the Minority Equity)
      754,935
      796,977
      724,794
      688,554
      Total Liabilities and Shareholders Equity
      3,975,998
      4,014,829
      3,843,164
      3,318,600
      Statement of Income 2024-09-30 2024-06-30 2024-03-31 2023-09-30
      Total Revenue (Sales/Operating)
      510,429
      463,673
      500,628
      335,994
      Net Profit (Loss) before Zakat and Tax
      47,641
      79,465
      69,305
      40,344
      Zakat and Income Tax
      -3,310
      -2,954
      -3,741
      -3,028
      Net Profit (Loss) after Zakat and Tax
      40,028
      72,182
      62,276
      33,436
      Total Comprehensive Income
      40,028
      72,182
      62,276
      33,436
      Profit (Loss) per Share
      0.08
      0.14
      0.12
      0.07
      Cash Flows 2024-09-30 2024-06-30 2024-03-31 2023-09-30
      Net Cash From Operating Activities
      290,057
      166,433
      54,746
      -203,990
      Net Cash From Investing Activities
      41,250
      55,298
      75,193
      -115,318
      Net Cash From Financing Activities
      -124,455
      80,063
      68,078
      344,275
      Cash and Cash Equivalents, Beginning of the Period
      54,734
      54,734
      54,734
      24,137
      Cash and Cash Equivalents, End of the Period
      30,301
      72,069
      90,080
      49,104
      All Figures in Thousands Thousands Thousands Thousands
      All Currency In SAR SAR SAR SAR
      Last Update Date 2024-10-30 2024-08-04 2024-05-13 2023-11-06

      The Capital Market Authority and Saudi Exchange take no responsibility for the contents of this disclosure, make no representations as to its accuracy or completeness, and expressly disclaim any liability whatsoever for any loss arising from, or incurred in reliance upon, any part of this disclosure, and the issuer accepts full responsibility for the accuracy of the information contained in it and confirms, having made all reasonable enquiries, that to the best of their knowledge and belief, there are no other facts or information the omission of which would make the disclosure misleading, incomplete or inaccurate. The above information does not replace detailed financial statements, as detailed financial statements are the reliable source that must be consulted to obtain accurate financial information.

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      Shareholding Information

      • Board Of Directors
      • Foreign Ownership
      • Substantial Shareholders
      Time Period
      -
      Search
      Trading Date Shareholders Designation Shares Held Trading Day Shares Held Prev Trading Day Change
      2025-01-20 عبدالله فيصل عبدالعزيز البريكان Senior Executives 3.5700000% 3.5700000% 0
      2025-01-20 عبدالله فيصل عبدالعزيز البريكان Board of Directors 3.5700000% 3.5700000% 0
      • The listed company (Publisher) shall be responsible for the accuracy of the published information pertaining to the ownership of the Board of Directors, Chief Executive Officer or highest executive position, and the Chief Financial Officer. The listed company shall also be responsible for updating these information thereof. Therefore, the Saudi Stock Exchange (Tadawul) shall not be liable for the information contained therein, nor for any consequences that may result from the said information.
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      Company Apply
      Retal Urban Development Co.
      Price 17.06
      Market Cap (SAR MN) 8,500
      P/E Ratio 36.82
      Index Name Index Level 1D Return
      Retal Urban Development Co. %
      Jump To:
      • Announcements & Corporate Actions
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      Company Profile

      Company overview

      The main activities of the company are as follows: The purchase and sale of lands, investment in real estate, its division, and the off-plan sales, general construction of buildings, non-residential public buildings constructions, including (schools, hospitals, hotels...etc).

      Company History

      Retal Urban Development Company is a joint-stock Saudi company registered in the Kingdom of Saudi Arabia under Commercial Registration No. 2051047761 corresponding to Al-Khobar on Rabi'' Al-Awal 12, 1433 corresponding to February 4, 2012. During the year 2020, the shareholders will convert the company from a limited liability company to a closed joint stock company. The company obtained a Ministerial approval on the announcement of the transformation on Muharram 9, 1442 (corresponding to August 28, 2020). On February 2, 2021, the General Assembly, at its meeting, approved the start of the procedures for listing the group in the stock market (Tadawul).

      Company Bylaws

      Click here

      Equity Profile

      • Authorized Capital (SAR) 500,000,000
      • Issued Shares 500,000,000
      • Paid Capital (SAR) 500,000,000
      • Par Value/Share 1
      • Paid Up Value/Share 1

      Last Update :2023-07-23

      Investment limits

      There are no investment limits on the company's shares as per the amended Rules for Qualified Foreign Financial Institutions Investment in Listed Securities and Instructions for Foreign Strategic Investors Ownership in Listed Companies based on the Company's bylaw and the issued Instructions by regulators and supervisory authorities.

       

      • Company Details
      • BOARD OF DIRECTORS AND SENIOR EXECUTIVES INFORMATION
      • Date Established

        2012/02/04

      • Financial Year End

        31/12

      • Listing Date

        2022/06/27

      • External Auditors

        [Ibrahim Ahmed Al-Bassam & Co. (PKF)]

      • ISIN CODE

        SA15J1S23H17

      • Number of Employees

        1073

      • Chairman

        Abdullah Abdullatif Ahmad AlFozan
        -

        Abdullah Abdullatif Ahmad AlFozan
        • BD Session Start
          2020-07-19
          Designation
          Chairman
        • BD Session End
          2025-05-25
          Classification
          -
      • Board of Directors

        Ali Abdullatif Ahmad AlFozan Deputy Chairman - Non Executive

        Ali Abdullatif Ahmad AlFozan
        • BD Session Start
          2020-07-19
          Designation
          Board of Directors
        • BD Session End
          2025-05-25
          Classification
          Deputy Chairman - Non Executive

        Majed Aedh Ajal AlNefaie Independent

        Majed Aedh Ajal AlNefaie
        • BD Session Start
          2020-11-22
          Designation
          Board of Directors
        • BD Session End
          2025-05-25
          Classification
          Independent

        Hani Othman Saeed Ba Othman Independent

        Hani Othman Saeed Ba Othman
        • BD Session Start
          2021-08-01
          Designation
          Board of Directors
        • BD Session End
          2025-05-25
          Classification
          Independent

        Abdulrahman Abdullah Saleh AlWabel Independent

        Abdulrahman Abdullah Saleh AlWabel
        • BD Session Start
          2021-08-01
          Designation
          Board of Directors
        • BD Session End
          2025-05-25
          Classification
          Independent

        Fozan Mohammed Ahmad AlFozan Non - Executive

        Fozan Mohammed Ahmad AlFozan
        • BD Session Start
          2020-07-19
          Designation
          Board of Directors
        • BD Session End
          2025-05-25
          Classification
          Non - Executive

        Fahad Abdulrahman Mohammed AlMojel Non - Executive

        Fahad Abdulrahman Mohammed AlMojel
        • BD Session Start
          2020-07-19
          Designation
          Board of Directors
        • BD Session End
          2025-05-25
          Classification
          Non - Executive

        Abdullah Faisal Abdulaziz AlBraikan Executive

        Abdullah Faisal Abdulaziz AlBraikan
        • BD Session Start
          2020-07-19
          Designation
          Board of Directors
        • BD Session End
          2025-05-25
          Classification
          Executive

        Abdulrahman Ibrahem Abdulrahman AlJalal Non - Executive

        Abdulrahman Ibrahem Abdulrahman AlJalal
        • BD Session Start
          2020-07-19
          Designation
          Board of Directors
        • BD Session End
          2025-05-25
          Classification
          Non - Executive
      • Senior Executives

        Abdullah Faisal Abdulaziz AlBraikan CEO

        Abdullah Faisal Abdulaziz AlBraikan
        • BD Session Start
          2012-04-01
          Designation
          Senior Executives
        • BD Session End
          -
          Classification
          CEO

        Ammar Mohammed alghul CFO

      Ammar Mohammed alghul
      • BD Session Start
        2022-08-28
        Designation
        Senior Executives
      • BD Session End
        -
        Classification
        CFO

      Investor Relations

      Contact Name:

      Investor Relation

      Company Address:

      Building Number 3200, Street Name 10, Ar Rawabi District, Khobar Zip Code 34421 Additional Number 8800

      Contact Details:

      Telephone: 0138013777
      Fax : 0138013778
      Email : IR@RETAL.COM.SA

      Company Website:

      www.retal.com.sa


      Name Of Subsidiary Percentage Of Property Main Business Location Of Operation Country Of Operation
      Building and Construction Company (BCC) 80.00% Construction Saudi Arabia Saudi Arabia
      Nesaj Real Estate Company (TRS) 100.00% Construction and Real Estate Activities Saudi Arabia Saudi Arabia
      Tadbeir Real Estate Company 100.00% Facilities management and real estate activities Saudi Arabia Saudi Arabia
      Tadbeir Company Limited 100.00% Facilities managment Saudi Arabia Saudi Arabia
      Tadbeir Environmental Services Company 100.00% Water, sanitation, waste management and treatment Saudi Arabia Saudi Arabia
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      The Capital Market Authority and Saudi Exchange take no responsibility for the contents of these disclosures, make no representations as to its accuracy or completeness, and expressly disclaim any liability whatsoever for any loss arising from, or incurred in reliance upon, any part of these disclosures, and the issuer accepts full responsibility for the accuracy of the information contained in it and confirms, having made all reasonable enquiries, that to the best of their knowledge and belief, there are no other facts or information the omission of which would make the disclosure misleading, incomplete or inaccurate.