Local Saudi Sukuk Issuance Program in Saudi Riyal

​​​​​​​​​​​​​​​​​​​​​​​​​​​​​​Established in 2017, the Saudi Riyal Local Sukuk Program, where the Ministry of Finance issues local instruments denominated in Saudi riyals, that arranged by NDMC and divided into monthly tranches for investors. NDMC’s role in the Sukuk program is based on its mandate to secure the Kingdom’s financing needs at the best possible costs in the short, medium and long term, and in support of the Sukuk market in Saudi Arabia.​

For information about the Program, kindly download the Program's Information Memorandum
For information about the Ijara Program (Saving Sukuk​), kindly download the Program's Information Memorandum
Click here.
For detail of these issuances, kindly visit
  • ISIN SA16200IJFJ4 (Maturing 2031)
  • ISIN SA15S00IJA38 (Maturing 2031)*
  • ISIN SA15S00IJAJ0 (Maturing 2032)
  • ISIN SA15S00IJB37 (Maturing 2033)*
  • ISIN SA160G0IJD32 (Maturing 2034)
  • ISIN SA16200IJG39 (Maturing 2036)*
  • ISIN SA160G0IJDJ3 (Maturing 2039)*
  • ISIN SA16GG0IK1J2 (Maturing 2041)*
  • * PD bond for 2026

List of Issuances

August / أغسطس
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 1.97 01/21/28
19/08/2036
5306
SA15C00IJ0J4
19/08/2021
4365004000
4365004000
3.21%
100
September / سبتمبر
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 2.60 06/17/31
19/08/2036
5311
SA15B00IIVJ4
16/09/2021
2350004000
650000000
3.1%
101.30482
November / نوفمبر
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 2.55 01/21/33
04/11/2036
5308
SA15DG0IJ2J2
04/11/2021
2357000000
215000000
2.75%
102.05909
October / أكتوبر
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 3.35 03/17/37
17/03/2037
5323
SA15HVK2J5J1
20/10/2022
167013000
100000000
4.77%
85.32126
December / ديسمبر
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 3.35 03/17/37
17/03/2037
5323
SA15HVK2J5J1
22/12/2022
1905011000
605010000
4.78%
85.34925
February / فبراير
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 3.35 03/17/37
17/03/2037
5323
SA15HVK2J5J1
16/02/2023
432649000
432649000
4.34%
89.64542
January / يناير
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 5.59 04/25/36
25/04/2036
5344
SA16200IJG39
23/01/2025
1036000000
1036000000
5.26%
102.76742
February / فبراير
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 5.59 04/25/36
25/04/2036
5344
SA16200IJG39
20/02/2025
403900000
403900000
5.21%
103.18138
June / يونيو
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 5.59 04/25/36
25/04/2036
5344
SA16200IJG39
26/06/2025
5000000
5000000
5.14%
103.69408
July / يوليو
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 5.59 04/25/36
25/04/2036
5344
SA16200IJG39
17/07/2025
823377000
823377000
5.28%
102.51317
August / أغسطس
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 5.59 04/25/36
25/04/2036
5344
SA16200IJG39
21/08/2025
1122500000
1122500000
5.27%
102.57945
September / سبتمبر
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 5.59 04/25/36
25/04/2036
5344
SA16200IJG39
18/09/2025
2845800000
1270800000
5.07%
104.2189
October / أكتوبر
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 5.59 04/25/36
25/04/2036
5344
SA16200IJG39
16/10/2025
2451000000
2451000000
5.11%
103.86862
November / نوفمبر
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 5.59 04/25/36
25/04/2036
5344
SA16200IJG39
20/11/2025
197000000
197000000
5.23%
102.8618
December / ديسمبر
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 5.59 04/25/36
25/04/2036
5344
SA16200IJG39
18/12/2025
1692000000
1692000000
5.26%
102.60113
January / يناير
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 5.59 04/25/36
25/04/2036
5344
SA16200IJG39
22/01/2026
202000000
101000000
5.28%
102.4222
February / فبراير
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 5.59 04/25/36
25/04/2036
5344
SA16200IJG39
12/02/2026
1597500000
1597500000
5.24%
102.73026
March / مارس
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 5.59 04/25/36
25/04/2036
5344
SA16200IJG39
12/03/2026
3451755000
3451755000
5.24%
102.71537
April / أبريل
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 5.59 04/25/36
25/04/2036
5344
SA16200IJG39
16/04/2026
5668000000
5668000000
5.35%
101.84187
May / مايو
maturity-title
maturity-date
tadawul-code
iSIN-code
settlement-date
total-amount-of-all-bids-received
total-amount-allocated
all-bids-awarded-at-yield
all-bids-awarded-at-price
KSASUK 5.59 04/25/36
25/04/2036
5344
SA16200IJG39
14/05/2026
2236800000
1010000000
5.42%
101.29046

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