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
For detail of these issuances, kindly visit
- Traded securities (reference instruments):
Read More.List of Issuances
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 3.0 02/24/35
24/02/2035
5284
SA15100III31
24/02/2020
0
3988000000
3%
100
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 3.0 02/24/35
24/02/2035
5284
SA15100III31
27/04/2020
0
4250000000
3%
99.81162
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 3.0 02/24/35
24/02/2035
5284
SA15100III31
29/06/2020
0
2331000000
3%
103.73147
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 3.1 07/26/35
26/07/2035
5303
SA153G0IIRJ4
24/08/2020
0
400000000
3.1%
101.43544
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 2.80 03/18/31
26/07/2035
5309
SA159G0IIUJ2
17/06/2021
860000000
860000000
2.89%
102.4171
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 3.1 07/26/35
26/07/2035
5303
SA153G0IIRJ4
08/07/2021
3950000000
3950000000
3.1%
99.99892
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 4.30 06/23/34
23/06/2034
5326
SA15JFK2J730
25/08/2022
950000000
100000000
3.75%
105.2089
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 4.30 06/23/34
23/06/2034
5326
SA15JFK2J730
17/11/2022
4345000000
1035000000
4.66%
96.795532
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 3.00 02/24/35
24/02/2035
5284
SA15100III31
26/01/2023
5684632000
2199561000
4.35%
87.419
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 3.0 02/24/35
24/02/2035
5284
SA15100III31
15/06/2023
3899450000
1843000000
4.55%
86.06162
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 3.0 02/24/35
24/02/2035
5284
SA15100III31
23/11/2023
667700000
667700000
5.08%
82.33345
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 3.0 02/24/35
24/02/2035
5284
SA15100III31
21/12/2023
8941250000
7973719000
4.9%
83.7947
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
25/04/2024
3513306000
3513306000
5.59%
100
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
23/05/2024
3160500000
3160500000
5.41%
101.56161
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
25/07/2024
1253050000
1253050000
5.18%
103.56616
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
22/08/2024
415000000
415000000
4.94%
105.70705
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
19/09/2024
201500000
201500000
4.7%
107.88372
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
21/11/2024
10006000
10006000
5.14%
103.8485
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
26/12/2024
2000
2000
5.27%
102.69598
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
20/03/2025
821250000
0
0%
0
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