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 3.45 09/20/27
23/01/2029
5251
SA14CVK2I1J5
23/01/2019
0
1725000000
3.75%
97.8
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 3.90 01/23/29
23/01/2029
5274
SA14OVK2ID31
20/02/2019
0
274000000
3.9%
100.98312
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 3.90 01/23/29
23/01/2029
5274
SA14OVK2ID31
27/03/2019
0
2395000000
3.9%
103.3808
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 2.69 03/23/30
23/03/2030
5282
SA14T00IIH32
23/10/2019
0
654000000
2.69%
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 2.69 03/23/30
23/03/2030
5282
SA14T00IIH32
25/12/2019
0
1183000000
2.69%
99.22463
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
19/08/2029
5306
SA15C00IJ039
19/08/2021
2508250000
2508250000
2.43%
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 2.99 11/04/31
19/08/2029
5312
SA15DG0IJ1J4
16/09/2021
3170103000
3170103000
2.39%
100.28631
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
19/08/2029
5312
SA158G0IIU36
21/10/2021
3905000000
3905000000
2.63%
98.5916
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
19/08/2029
5308
SA158G0IIU36
18/11/2021
1075000000
0
0%
0
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 2.77 01/20/30
20/01/2030
5318
SA15GG0IJ336
20/01/2022
1248000000
1248000000
2.77%
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 2.77 01/20/30
20/01/2030
5318
SA15GG0IJ336
17/02/2022
7528000000
7528000000
2.93%
98.87447
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 2.77 01/20/30
20/01/2030
5318
SA15GG0IJ336
17/03/2022
3575000000
3575000000
2.95%
98.74586
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 2.43 08/19/29
19/08/2029
5312
SA15C00IJ039
20/10/2022
1825000000
300000000
4.5%
87.93966
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 2.69 03/23/30
23/03/2030
5282
SA14T00IIH32
26/01/2023
3151000000
1266000000
4%
91.913
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 2.69 03/23/30
23/03/2030
5282
SA14T00IIH32
15/06/2023
3537802000
662802000
4.36%
90.29631
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 2.69 03/23/30
23/03/2030
5282
SA14T00IIH32
21/09/2023
5278350000
1025500000
4.68%
88.94857
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 2.69 03/23/30
23/03/2030
5282
SA14T00IIH32
26/10/2023
2212570000
2212570000
5.19%
86.5193
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 2.69 03/23/30
23/03/2030
5282
SA14T00IIH32
21/12/2023
5184050000
2579500000
4.74%
89.0121
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 3.90 01/23/29
23/01/2029
5274
SA14OVK2ID31
20/11/2025
1375000000
1375000000
4.82%
97.31599
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 3.9 01/23/29
23/01/2029
5274
SA14OVK2ID31
12/03/2026
3154500000
1154500000
4.68%
97.92746
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