COAS icon

COAS

62.0 KWD

+0.65%

Today

+0.32%

1D

Last seen at Tue, 24 Feb 2026 11:54:00 GMT+3

Market is closed

Sun

9:10 AM ~ 12:20 PM

Mon

9:10 AM ~ 12:20 PM

Tue

9:10 AM ~ 12:20 PM

Wed

Closed

Thu

Closed

Fri

Closed

Sat

Closed

1D
5D
1M
3M
1Y
MAX

Performance

1 Day

+ 0.32 %

1 Week

+ 1.62 %

1 Month

- 1.87 %

3 Month

- 15.00 %

6 Month

- 10.78 %

1 Year

- 13.12 %

Information

Name

Coast Investment and Development

Currency

KWD

Standard Leverage

1X

Lightning Icon

Market Cap

31.76M

Avg Daily Volume

1.16M

52 Week High

84 KWD

52 Week Low

55.3 KWD

Trading Hours

See hours

Business Summary

Coast Investment & Development Company K.S.C.P. is a publicly owned investment manager. The firm also provides advisory and consulting services. It primarily manages separate client focused portfolios and mutual funds for its clients. The firm invests in the public equity, fixed income, private equity, and real estate markets across the globe. Its real estate investments include investments in properties, reconstruction, housing operations, and all development operations in various fields. The firm seeks to invest in shares and bonds of companies, government authorities, and semi government authorities. It also invests in mutual funds. The firm employs a combination of quantitative and qualitative analysis to create its investment portfolios. It conducts in-house research to make its investments. Coast Investment & Development Company K.S.C.P. was founded in 1975 and is based in Safat, Kuwait.

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Frequently Asked Questions

What are financial stocks?

Financial stocks include companies like banks, insurance firms, investment services, and fintechs. They play a critical role in the economy by facilitating credit, investment, and wealth management.


How do interest rates affect financial stocks?

Financials often benefit from rising interest rates, which can increase net interest margins for banks and improve profitability.


Why are financials important in a trading portfolio?

Financial stocks can offer strong dividends, sector stability, and exposure to macroeconomic trends like interest rate policy and GDP growth.


What risks are associated with financial sector investing?

Regulatory changes, credit risk, economic downturns, and interest rate volatility can all impact financial companies' earnings and stock prices.