Page-cited financials · Dubai Financial Market

NIH 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
cashKWD 3,691,494p.4
Accounts receivable and other assetsKWD 1,773,677p.4
InventoriesKWD 733,994p.4
Investments at fair value through profit or lossKWD 3,372,190p.4
Investments at fair value through OCIKWD 16,651,834p.4
Investments in debt instruments at amortized costKWD 5,786,934p.4
Investment in associatesKWD 17,740,390p.4
Investment propertiesKWD 814,000p.4
Property and equipmentKWD 4,437,513p.4
total_assetsKWD 55,002,026p.4
Bank facilitiesKWD 2,168,783p.4
Accounts payable and other liabilitiesKWD 4,295,531p.4
total_liabilitiesKWD 6,464,314p.4
Share capitalKWD 24,862,620p.4
Share premiumKWD 2,813,184p.4
Statutory reserveKWD 2,107,129p.4
Voluntary reserveKWD 236,413p.4
Fair value reserveKWD 9,344,674p.4
Treasury sharesKWD -302,428p.4
Treasury shares reserveKWD 373,850p.4
Group's share in associates' reservesKWD 754,842p.4
Retained earningsKWD 2,976,439p.4
Equity attributable to the shareholders of the Parent CompanyKWD 43,166,723p.4
Non-controlling interestsKWD 5,370,989p.4
total_equityKWD 48,537,712p.4
total_liabilities_and_equityKWD 55,002,026p.4

Cash flow

as of 2026-03-31
Net (loss)/profit for the periodKWD -650,559p.8
Net investment loss/(income)KWD 196,373p.8
Share of results from associatesKWD 395,767p.8
Depreciation and amortizationKWD 33,738p.8
Provision for employees' end of service benefitsKWD 33,078p.8
Finance costsKWD 39,917p.8
Operating gains/(losses) before changes in working capitalKWD 48,314p.8
Accounts receivable and other assetsKWD -4,851p.8
Financial assets at fair value through profit or lossKWD 1,340,589p.8
InventoriesKWD -87,846p.8
Accounts payable and other liabilitiesKWD -7,538p.8
Employees' end of service benefits - paidKWD -11,915p.8
ocfKWD 1,276,753p.8
capexKWD -96p.8
Dividends receivedKWD 7,125p.8
Net cash generated from investing activitiesKWD 7,029p.8
Net changes in bank facilitiesKWD 139,951p.8
Finance costs paidKWD -39,917p.8
Cash dividends paidKWD -8,190p.8
Net cash generated from financing activitiesKWD 91,844p.8
Increase in cash and cash equivalentsKWD 1,375,626p.8
Cash and cash equivalents at the beginning of the periodKWD 2,315,868p.8
Cash and cash equivalents at the end of the periodKWD 3,691,494p.8

Income statement

as of 2026-03-31
revenueKWD 861,143p.5
Net investment (loss)/incomeKWD -196,373p.5
Share of results from associatesKWD -395,767p.5
Other incomeKWD 88,858p.5
Cost of sales from operating activitiesKWD 629,635p.5
Other expensesKWD 338,868p.5
interest_expenseKWD 39,917p.5
(Loss)/profit for the period before deductionsKWD -650,559p.5
Net (loss)/profit for the periodKWD -650,559p.5
Shareholders of the Parent CompanyKWD -647,728p.5
Non-controlling interestsKWD -2,831p.5
Basic and diluted (loss)/earnings per share (fils)KWD -2.64p.5
Net (loss)/profit for the periodKWD -650,559p.6
Group's share in associates' reservesKWD -70,417p.6
Change in fair value of equity investments at fair value through other comprehensive incomeKWD -251,497p.6
Group's share of other comprehensive loss of associatesKWD -1,168p.6
Total other comprehensive (loss)/income itemsKWD -323,082p.6
Total comprehensive (loss)/profit for the periodKWD -973,641p.6
Shareholders of the Parent CompanyKWD -871,333p.6
Non-controlling interestsKWD -102,308p.6