About SAB Invest Asset Management & Investment Strategy
SAB Invest is an established asset management institution registered on SNDUK in Saudi Arabia. This comprehensive financial profile presents an in-depth overview of all mutual funds managed by SAB Invest, including total assets under management (AUM), fund asset allocations, investment risk profiles, corporate governance, and historical performance tracking. Whether you are an individual retail investor or an institutional investor looking to diversify your financial portfolio in Saudi Arabia, SAB Invest offers a spectrum of fund strategies engineered to maximize capital growth while maintaining strict risk controls.
الأول للاستثمار هي شركة استثمارية سعودية مملوكة بنسبة 100% للبنك السعودي الأول، تأسست عام 2008، وتقدم مجموعة متكاملة من الخدمات الاستثمارية للأفراد والمؤسسات، تشمل إدارة الأصول، إدارة المحافظ الخاصة، الوساطة المالية، وحلول الاستثمار العالمية.
تدير شركة الأول للاستثمار مجموعة متنوعة من المنتجات الاستثمارية تشمل صناديق أسواق المال والمرابحة، الدخل الثابت، الأسهم المحلية والإقليمية والعالمية، الصناديق متعددة الأصول، الصناديق المتداولة، والاستثمارات العقارية والبديلة، مع توفير منتجات تقليدية وأخرى متوافقة مع الشريعة الإسلامية.
وبحسب التقرير السنوي لعام 2025، بلغت الأصول المدارة لدى الأول للاستثمار نحو 34.2 مليار دولار بنهاية العام، بينما ارتفعت الأصول الخاضعة للإدارة الاستشارية من 800 مليون دولار إلى 3 مليارات دولار.
SAB Invest specializes in discretionary fund management, asset allocation, and private portfolio advisory services across various financial sectors in Saudi Arabia. The firm relies on disciplined financial research and quantitative market analysis to evaluate investment vehicles across equities, fixed income securities, and money market instruments. Through an active asset management strategy, SAB Invest aims to outperform benchmark market indices while shielding investor capital against macroeconomic volatility.
Additionally, SAB Invest emphasizes operational transparency and adherence to strict regulatory guidelines set by capital market authorities. By maintaining robust asset custody standards and regular financial audits, SAB Invest ensures that investor assets are safeguarded while delivering institutional-grade fund execution.
SAB Invest Corporate Details, Governance & Regulatory Overview
SAB Invest was founded in the year 2008, establishing a deep operational history and seasoned track record navigating economic cycles in regional capital markets.
The executive leadership and board of directors at SAB Invest are led by Chairman خالد الملحم, who oversees long-term strategic investment planning, risk management frameworks, and fiduciary policies.
SAB Invest operates with a total paid-up capital of 34200000000 $, providing a solid financial foundation and substantial capital adequacy to support large-scale asset operations.
SAB Invest currently commands an active fund management portfolio consisting of 14 funds listed on the SNDUK platform, with cumulative assets under management (AUM) reported at 5050878041. Net Asset Values (NAV) are calculated and published regularly to maintain complete investor visibility.
SAB Invest Managed Mutual Funds & Market Performance Indicators
Key investment funds managed by SAB Invest include: Saudi Financial Institutions Equity Fund, Saudi Riyal Money Market Fund, SAB Invest Multi Assets Defensive Fund, SAB Invest Multi Assets Growth Fund, SAB Invest Multi Assets Balanced Fund, SAB Invest Saudi Industrial Companies Equity Fund, SAB Invest GCC Equity Fund, SAB Invest US Dollar Murabaha Fund, SAB Invest Saudi Riyal Murabaha Fund, SAB Invest GCC Conventional Equity Fund. These investment vehicles span diverse asset classes, ranging from growth-oriented equity funds and high-yield income funds to Shariah-compliant Islamic liquidity solutions.
Each mutual fund under SAB Invest is evaluated against key performance benchmarks including historic annual returns, Sharpe ratio, volatility metrics, and expense ratios. By analyzing these indicators, investors can select funds that align precisely with their personal financial goals.
Comprehensive Financial Analysis & Investment Opportunities with SAB Invest
Comparing SAB Invest with other asset management firms in Saudi Arabia allows investors to evaluate fee structures, historical stability, and asset diversification strategies. SNDUK provides real-time comparison metrics, performance charts, and fund rankings to benchmark SAB Invest against industry competitors. Through automated performance analytics, investors can identify top-performing funds and make data-backed portfolio allocation decisions.
Investors interested in building a resilient investment strategy with SAB Invest can explore detailed prospectus documents, manager reports, and historical price changes updated on SNDUK. By reviewing past financial performance and management fee structures, investors gain full clarity on expected fund returns and risk profiles.
Furthermore, SAB Invest adheres to robust regulatory frameworks and risk mitigation policies designed to protect investor funds during period of market corrections. Regular portfolio rebalancing and systematic liquidity management allow SAB Invest to maintain capital preservation objectives alongside competitive yield targets.
Frequently Asked Questions regarding SAB Invest: How do I invest in SAB Invest funds? Investors can purchase fund units directly through authorized distributing banks or receiving brokers listed in each fund prospectus on SNDUK. How often are NAV prices updated for SAB Invest? Net Asset Values are updated daily or weekly depending on the specific fund type and fund prospectus terms.
Explore all funds, historical performance metrics, and detailed financial reports for SAB Invest on SNDUK to make well-informed investment decisions.
