IFA fundamentals.
▸ Extracted from the filings themselves — every figure links to the exact page it came from. Latest validated period: 2026-03-31.
Balance sheet
as of 2026-03-31| Borrowings | KWD 20,232,008 | p.6 |
| cash | KWD 7,497,564 | p.6 |
| Investments at fair value through profit or loss | KWD 925,381 | p.6 |
| Receivables and other assets | KWD 5,637,258 | p.6 |
| Due from related parties | KWD 15,753,608 | p.6 |
| Investments at fair value through other comprehensive income | KWD 51,416,765 | p.6 |
| Investment properties | KWD 5,623,418 | p.6 |
| Investment in associates and joint venture | KWD 75,016,500 | p.6 |
| Equipment | KWD 10,949 | p.6 |
| total_assets | KWD 161,881,443 | p.6 |
| Payables and other liabilities | KWD 9,315,483 | p.6 |
| Due to related parties | KWD 656,990 | p.6 |
| total_liabilities | KWD 30,204,481 | p.6 |
| Share capital | KWD 54,253,400 | p.6 |
| Share premium | KWD 9,002,224 | p.6 |
| Treasury shares | KWD -35,208,726 | p.6 |
| Statutory and voluntary reserves | KWD 39,224,746 | p.6 |
| Fair value reserve | KWD 31,678,073 | p.6 |
| Foreign currency translation reserve | KWD -1,076,841 | p.6 |
| Reserve for financial derivatives | KWD 9,842,061 | p.6 |
| Retained earnings | KWD 16,690,633 | p.6 |
| Total equity attributable to the shareholders of the Parent Company | KWD 124,405,570 | p.6 |
| Non-controlling interests | KWD 7,271,392 | p.6 |
| total_equity | KWD 131,676,962 | p.6 |
| total_liabilities_and_equity | KWD 161,881,443 | p.6 |
Cash flow
as of 2026-03-31| Profit before taxation | KWD 1,182,295 | p.9 |
| Share of results of associates and joint venture | KWD -1,537,181 | p.9 |
| Finance costs | KWD 261,524 | p.9 |
| Depreciation | KWD 823 | p.9 |
| Investments at FVTPL | KWD 110,261 | p.9 |
| Receivables and other assets | KWD -1,385,514 | p.9 |
| Due from related parties | KWD 3,214,779 | p.9 |
| Payables and other liabilities | KWD 660,984 | p.9 |
| Due to related parties | KWD -44,384 | p.9 |
| ocf | KWD 2,463,587 | p.9 |
| Additions to investments at FVTOCI | KWD -1,453,605 | p.9 |
| Net cash used in investing activities | KWD -1,453,605 | p.9 |
| Proceeds from non-controlling interests on capital increase in subsidiary | KWD 2,793,203 | p.9 |
| Purchase of treasury shares | KWD -1,229,963 | p.9 |
| Increase in borrowings | KWD 922,351 | p.9 |
| Finance costs paid | KWD -261,524 | p.9 |
| Net cash from/(used in) financing activities | KWD 2,224,067 | p.9 |
| Net increase/(decrease) in cash and cash equivalents | KWD 3,234,049 | p.9 |
| Foreign currency adjustment | KWD 21,382 | p.9 |
| Cash and cash equivalents at beginning of the period | KWD 1,218,133 | p.9 |
| Cash and cash equivalents/(due to bank) at end of the period | KWD 4,473,564 | p.9 |
Income statement
as of 2026-03-31| Change in fair value of investments at FVTPL | KWD -110,261 | p.4 |
| Share of results of investment in associates and joint venture | KWD 1,537,181 | p.4 |
| Dividend income | KWD 202,085 | p.4 |
| Other income | KWD 118,078 | p.4 |
| Staff costs | KWD -41,362 | p.4 |
| Other operating expenses and charges | KWD -261,902 | p.4 |
| interest_expense | KWD -261,524 | p.4 |
| Profit before taxation | KWD 1,182,295 | p.4 |
| net_income | KWD 1,182,295 | p.4 |
| - Shareholders of the Parent Company | KWD 1,191,116 | p.4 |
| - Non-controlling interests | KWD -8,821 | p.4 |
| net_income | KWD 1,182,295 | p.4 |
| Basic and diluted earnings per share attributable to shareholders of the Parent Company (Fils) | KWD 2.1 | p.4 |
| net_income | KWD 1,182,295 | p.5 |
| Net change in fair value of investments at FVTOCI | KWD -3,606,568 | p.5 |
| Share of other comprehensive income of associates and joint venture | KWD 36,498 | p.5 |
| Exchange differences arising on translation of foreign operations | KWD 19,032 | p.5 |
| Total other comprehensive (loss)/income | KWD -3,551,038 | p.5 |
| Total comprehensive (loss)/income for the period | KWD -2,368,743 | p.5 |
| - Shareholders of the Parent Company | KWD -2,313,001 | p.5 |
| - Non-controlling interests | KWD -55,742 | p.5 |