Riyadh – Mubasher: Al Wasatah Capital, the fund manager of Alazizia REIT, announced the availability of the semi-annual valuation reports for fiscal period that ended on 30 June 2026.
According to the regulatory disclosure, the valuations were conducted by two independent accredited valuers. The process was carried out in accordance with the asset valuation policy outlined in the fund’s terms and conditions.
These reports provide an updated assessment of the real estate investment trust's portfolio performance and asset standing for the first half (H1) of 2026.
Wasatah Capital, which operates under Saudi Capital Market Authority (CMA) license 08125-37, stated that the valuation documents are available to the public through the fund manager's website and the Saudi Exchange (Tadawul).
The reports were prepared to ensure transparency for unit holders regarding the underlying value of the fund's real estate holdings as of the period end.