| Introduction | Riyad Capital announces the distribution of cash dividends to the Unitholders of Riyad REIT for the first half of 2025, as follows: |
| Dividends maturity period | - Cash distribution entitlements to unitholders shall be based on the unitholder register on the end of Thursday, (12/3/1447 H) corresponding to 04 September 2025 (end of trading day on Tuesday, 02 September 2025). |
| Total distributed dividends | 27,471,536.16 SAR |
| Number of Outstanding Units on which Cash Distributions will be Distributed | 171,697,101 |
| Amount of Dividends Distributed per Unit | 0.16 SAR |
| Distribution Ratio of the Net Assets Value (%) | 1.55 % |
| 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 | 2025-09-04 Corresponding to 1447-03-12 |
| Distributions will be paid (number of days) | - Distributions shall be paid within 15 working days from eligibility date. |
| Additional Information | The Fund Manager would like to remind the unitholders to update their information with Capital Market Institution, where their accounts are being held, to ensure the direct deposit of their due distributions |