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Mutual Fund Profile

156005
BLOM FUND OF REITS FUND
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Performance

93.0416
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Name NAV Per Unit
BLOM FUND OF REITS FUND 93.0416
Prices are delayed

Fund Stats

NAV Per Unit 93.0416
Fund Type Open
NAV 9,401,156.35
VALUATION DATE 2026/06/29
Expense Ratio %* 0.98
Inception Date 2018/04/16
Leverage % 0
Fund Currency ^
Valuation Days Monday and Wednesday
Announcements Days Tuesday and Thursday
Management Fees % 0.8
Fund Manager Blominvest Saudi Arabia
Minimum Subscription (^) 100,000
Subscription Charge % 2.0
Risk Level High
  • NAV per Unit: Net Asset Value per Unit (Total assets – Total liabilities)/fund’s total number of units
  • NAV: Net Asset Value (NAV per Unit * fund’s total number of units)
  • Expense Ratio %: Actual expenses incurred through the concerned quarter (including management fees) / fund's average AUM during the concerned quarter
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Announcements

Related Announcements

  • BLOM FUND OF REITS FUND

    Announcement by Blominvest Saudi Arabia Company for the Availability of the quarterly statement of BLOM FUND OF REITS FUND for the period ending on 2026-03-31

    1447/10/26
    14/04/2026 16:37:58
  • BLOM FUND OF REITS FUND

    Corrective announcement from the fund manager of Blom Fund of REITs Fund regarding Announcement by Blominvest Saudi Arabia Company for the Availability of the quarterly statement of BLOM FUND OF REITS FUND for the period ending on 2025-12-31

    1447/10/19
    07/04/2026 17:20:29
  • BLOM FUND OF REITS FUND

    Announcement by Blominvest Saudi Arabia (Blominvest) for providing the public with of the annual report of BLOM FUND OF REITS FUND Including audited financial statements for the period ending on 31 DEC 2025 are available to the public.

    1447/10/12
    31/03/2026 18:31:11
  • BLOM FUND OF REITS FUND

    Announcement by Blominvest Saudi Arabia (Blominvest) regarding the distributions of Fund’s dividends to the Unitholders of BLOM FUND OF REITS FUND

    1447/10/12
    31/03/2026 16:49:51
  • BLOM FUND OF REITS FUND

    Announcement by Blominvest Saudi Arabia Company for the Availability of the quarterly statement of BLOM FUND OF REITS FUND for the period ending on 2025-12-31

    1447/07/25
    14/01/2026 17:42:32
View all announcement
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  • Fund Info

Fund Documents

Terms and Conditions

2025-11-16

Fact Sheet

2026 2025 2024 2023 2022
Q1 2026-04-14 2025-04-16 2024-04-21 2023-04-12 -
Q2 - 2025-07-14 2024-07-14 2023-07-13 2022-07-20
Q3 - 2025-10-14 2024-10-14 2023-10-12 2022-10-13
Q4 - 2026-04-07 2025-01-14 2024-01-14 2023-01-12

Financial Statements

2025 2024 2023 2022 2021
Annual  2026-03-31  2025-03-27  2024-03-31  2023-03-30  2022-03-31
Semi-annual  2025-08-09  2024-08-08  2023-08-10  2022-08-18  2021-08-18

XBRL

2026 2025 2024 2023 2022
Annual - - - - -
Semi-annual - - - - -

Voting Policy

2026-02-18
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  • Announcements
  • Fund Documents
  • Fund Info

Fund Info

Fund Name BLOM FUND OF REITS FUND
Fund Info The objective of the Fund is to invest the Fund's assets in the listed REIT Units that will be listed on the Saudi Stock Exchange and managed by the Fund Manager or other Fund Managers
Fund Manager Blominvest Saudi Arabia
Telephone +966 (11) 49 49 555
Website https://www.blominvest.sa/

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.

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