| Introduction | Musharaka Capital Company announces distributing cash dividends to Musharaka REIT Fund shareholders for the period from January 01 to June 30,2025. |
| Dividends maturity period | The dividend distributions will be due to the shareholders according to the registration of the share ownership at the end of Tuesday on 19/08/2025 corresponding to 25/02/1447 (The end of the trading day 17/08/2025 corresponding to 23/02/1447). |
| Total distributed dividends | 8,800,000 SAR |
| Number of Outstanding Units on which Cash Distributions will be Distributed | 88,000,000 |
| Amount of Dividends Distributed per Unit | 0.10 SAR |
| Distribution Ratio of the Net Assets Value (%) | 1.22 % |
| Distribution Ratio of the Net Assets Value as of | 2025-06-30 Corresponding to 1447-01-05 |
| Cash Distribution Entitlements to Unitholders Shall be Based on the Unitholder Register on the End of | 2025-08-19 Corresponding to 1447-02-25 |
| Distributions will be paid (number of days) | The profit distribution date will be within 15 working days after the due date. |
| Additional Information | The fund manager would like to remind the shareholders to update their bank account to ensure that their due profits are deposited directly into their accounts. |