
GULFGENERAL
3.69 SAR
-0.27%
Today
-0.80%
1D
Last seen at Tue, 24 Feb 2026 14:17:00 GMT+3
Market is closed
Sun
9:00 AM ~ 2:00 PM
Mon
9:00 AM ~ 2:00 PM
Tue
9:00 AM ~ 2:00 PM
Wed
9:00 AM ~ 2:00 PM
Thu
9:00 AM ~ 2:00 PM
Fri
Closed
Sat
Closed
Performance
1 Day
- 0.80 %
1 Week
- 2.23 %
1 Month
- 3.43 %
3 Month
- 11.46 %
6 Month
- 22.59 %
1 Year
- 68.33 %
Information
Name
Gulf General Insurance SJSC
Currency
SAR
Standard Leverage
1X
Market Cap
133.80M
Avg Daily Volume
166.72K
52 Week High
13.26 SAR
52 Week Low
4.4 SAR
Trading Hours
See hours
Business Summary
Gulf General Cooperative Insurance Company provides various insurance products for business and individuals in the Kingdom of Saudi Arabia. The company offers vehicle insurance, international travel, visitor insurance, medical malpractice, marine insurance, and personal accident insurance. It also provides medical, health care and life, engineering, public liability, and property insurance. Gulf General Cooperative Insurance Company was founded in 2009 and is headquartered in Jeddah, the Kingdom of Saudi Arabia.
Top News
Stock market today: Dow, S&P 500, Nasdaq futures dip as Trump to deliver State of the Union, Nvidia earnings loom
finance.yahoo.com
2h ago

Stock market today: Dow, S&P 500, Nasdaq futures dip as Trump delivers State of the Union, Nvidia earnings loom
finance.yahoo.com
2h ago

Industrials help send S&P/TSX composite higher, U.S. stock markets also rise
finance.yahoo.com
4h ago

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.



