Page 1

DAILY WRAP Muscat Securities Market Dubai Financial Market April 24, 2012

Jul 02, 2012

Fundamental Data Price Performance Ratio Analysis

Powered by: GulfBase.com


Ahli Bank|Banking & Investment Last Closing:

OMR

0.16 (02/07/2012)

Activities

52-Week High:

OMR

0.23 (19/07/2011)

The bank is engaged in providing housing loans in the Sultanate of Oman.

52-Week Low:

OMR

0.16 (01/07/2012)

Price Performance: Company

Sector

Market

-1.24%

-0.84%

-0.70%

1-Week

-17.10%

-1.05%

-0.73%

1-Month

-20.00%

-5.71%

-2.31%

3-Month

-21.57%

-8.40%

-2.69%

1-Year

-27.34%

-2.35%

-4.98%

5-Year

10.42%

-24.72%

-10.91%

1-Day

OMR 95.37 Million

Paid Up Capital:

Daily Market Performance

953.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Hamdan Al Hanai

0.21

OMR 152.59 Million

Market Capitalization:

Market

CEO::Abdulaziz M. Al Balushi

GCC

6

11

201

5.10%

2.21%

0.06%

0.20

Board Members:

Usama M. A. Al Barwani Adel El Labban Sanjeev Baijal Keith Gale Safana M. Al Barwani Sayyid Khalid Hamad Al Busaidi Shafqat Anwar Rashad K. Al Battashi

0.19

Ratio Comparison: Sector

Market

0.78

1.37

1.00

P/E

7.58

10.72

11.64

P/B

1.21

1.21

1.52

P/R

3.91

3.19

1.43

D/Y

0.00

4.09

4.74

ROA

2.02

1.49

2.56

ROE

15.94

11.25

13.15

Net Margin

51.51

29.71

12.17

Loan/Deposit

115.81

97.33

97.33

Equity/Assets

12.69

13.23

19.49

OMR

Company

Beta

0.18 0.17

Auditors: KPMG Email: info@ahlibank-oman.com

800,000 700,000 600,000 500,000 400,000 300,000 200,000 100,000 0

WebSite: http://www.ahlibank-oman.com

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 12,000

MB Holding & Subsidiaries Oman

10,000

OMR '000

15.20%

International Finance Corporation

9.90% Ministry of Defence Pension Fund

Others

6.50%

33.40%

8,000

6,000

4,000

2,000

0

Q1/2012 Al Ahli United Bank

Q4/2011

Q3/2011

Total Operating Income

35.00%

Q2/2011

Q1/2011

Total Operating Expenses

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 1,000,000

31/03/2012

31/03/2011

Change %

OMR '000

Income Data (OMR '000) 800,000

Total Operating Income

600,000 400,000

11,278

7,537

49.64

Gen Admin Expenses

1,663

1,267

31.25

Net Profit

5,924

4,033

46.89

Balance Sheet Data (OMR '000)

200,000

Cash & Balance 0

2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

31,580

32,796

-3.71

827,647

654,793

26.40

Investments

89,332

93,923

-4.89

Total Assets

994,847

800,208

24.32

Deposits

714,637

615,327

16.14

Total Liabilities

868,650

694,183

25.13

Capital

95,370

80,143

19.00

40,000

Reserves

25,856

19,283

34.09

35,000

Owners Equity

126,197

106,025

19.03

Yearly Income Data

30,000

OMR '000

Loans

Cash Flow Data (OMR '000)

25,000 20,000

Cash Flow From Operating Activities

-7,025

-12,217

N/M

15,000

From Investing Activities

-1,633

-169

N/M

10,000

From Financing Activities

5,000 0

Increase (Decrease) in Cash 2011

2010

Total Operating Income

2009

Total Operating Expenses

2008

2007

Net Profit

Net Cash Flow

-613 -8,658

-12,999

N/M

8,417

5,363

56.95


Bank Dhofar|Banking & Investment Last Closing:

OMR

0.41 (02/07/2012)

Activities

52-Week High:

OMR

0.51 (25/07/2011)

Engaged in commercial banking services.

52-Week Low:

OMR

0.41 (28/06/2012)

Price Performance: Company

Sector

Market

0.00%

-0.84%

-0.70%

1-Week

-2.39%

-1.05%

-0.73%

1-Month

-5.97%

-5.71%

-2.31%

3-Month

-6.61%

-8.40%

-2.69%

1-Year

-12.79%

-2.35%

-4.98%

5-Year

34.07%

-24.72%

-10.91%

1-Day

OMR 110.00 Million

Paid Up Capital:

Daily Market Performance

1100.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Abdulhafidh S. R. Al Aujaili

0.46

OMR 451.00 Million

Market Capitalization:

Market

CEO::Mohammed R. A. Jawad (Act. CEO)

GCC

2

3

105

15.06%

6.53%

0.17%

0.45

Board Members:

0.43

Ahmed S. M. Al Mahrazi Najah M. S. Al Kiyumi Saleh N. J. Al Araimi Mohammad Y. A. Abdullah Ali A. S. Al Mashani Qais M. A. Al Mashani

0.42

Auditors: KPMG

0.44

Ratio Comparison: Sector

Market

0.73

1.37

1.00

P/E

32.80

10.72

11.64

P/B

1.94

1.21

1.52

P/R

5.67

3.19

1.43

D/Y

1.41

4.09

4.74

ROA

0.67

1.49

2.56

ROE

5.93

11.25

13.15

Net Margin

17.32

29.71

12.17

Loan/Deposit

103.93

97.33

97.33

Equity/Assets

11.38

13.23

19.49

OMR

Company

Beta

Email: info@bankdhofar.com WebSite: www.bankdhofar.com

60,000 50,000 40,000 30,000 20,000 10,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 25,000 20,000

OMR '000

Abdulhafidh S. R. Al Aujaili & Companies

20.58%

Dhofar International Development & Investment Holding Co.

Civil Service Employees Pension Fund

27.50%

10.00%

15,000 10,000 5,000 0 -5,000 -10,000 -15,000

Q1/2012 Others

Q4/2011

Q3/2011

Total Operating Income

41.92%

Q2/2011

Q1/2011

Q3/2010

Total Operating Expenses

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 2,000,000

31/03/2012

31/03/2011

Change %

OMR '000

Income Data (OMR '000) 1,600,000

Total Operating Income

1,200,000 800,000

20,622

19,725

4.55

Gen Admin Expenses

7,989

7,216

10.71

Net Profit

9,177

9,385

-2.22

Balance Sheet Data (OMR '000)

400,000

Cash & Balance 0

2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

182,265

43.94

1,350,108

20.07

Investments

116,685

96,939

20.37

Total Assets

2,040,559

1,695,857

20.33

Deposits

1,559,763

1,260,935

23.70

Total Liabilities

1,808,408

1,471,083

22.93

110,012

91,524

20.20

57,265

46,901

22.10

232,151

224,774

3.28

3,644

-23,675

N/M N/M

Capital

80,000

Reserves

70,000

Owners Equity

60,000

OMR '000

262,350 1,621,016

Loans

Cash Flow Data (OMR '000)

50,000 40,000

Cash Flow From Operating Activities

30,000

From Investing Activities

696

-555

20,000

From Financing Activities

-6,407

-10,169

N/M

10,000

Increase (Decrease) in Cash

-2,067

-34,399

N/M

Net Cash Flow

14,586

14,401

1.28

0

2011

2010

Total Operating Income

2009

Total Operating Expenses

2008

2007

Net Profit


Bank Muscat|Banking & Investment Last Closing:

OMR

0.57 (02/07/2012)

Activities

52-Week High:

OMR

0.67 (11/01/2012)

To provide general banking and investment services.

52-Week Low:

OMR

0.54 (04/06/2012)

Price Performance: Company

1-Day

Sector

Market

-2.23%

-0.84%

-0.70%

-1.05%

-0.73%

1-Week

0.35%

1-Month

1.60%

-5.71%

-2.31%

3-Month

-8.37%

-8.40%

-2.69%

1-Year

-11.66%

-2.35%

-4.98%

5-Year

-31.23%

-24.72%

-10.91%

OMR 178.06 Million

Paid Up Capital:

Daily Market Performance

1780.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

1

1

57

33.89%

14.69%

0.37%

Board Members:

0.58

Market

1.47

1.37

1.00

P/E

8.24

10.64

11.60

P/B

1.17

1.20

1.51

P/R

3.42

3.16

1.43

D/Y

3.81

4.13

4.77

ROA

1.69

1.49

2.56

ROE

14.19

11.25

13.15

Net Margin

41.50

29.71

12.17

Loan/Deposit

98.68

97.33

97.33

Equity/Assets

11.93

13.23

19.49

Salim T. M. Al Mashani Abdulsalam M. A. Al Murshidi Nasser M. S. Al Harthy Hamoud I. S. Al Zadjali K.K. Abdul Razak Abdullatif A. A. AlMulla

0.57

OMR

Sector

Beta

CEO::Abdulrazak A. Issa

0.59

Ratio Comparison: Company

Chairman: Khalid M. Al Mashani

0.60

OMR 1,014.96 Million

Market Capitalization:

0.56 0.55

Auditors: KPMG

0.54

Email: info@bankmuscat.com WebSite: www.bankmuscat.com

2,000,000 1,600,000 1,200,000 800,000 400,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 80,000 70,000

17.06%

OMR '000

The Bank of New York International Nominees

Dubai Financial Group

11.31% Ministry of Defence Pension Fund

7.55% Royal Court Affairs

60,000 50,000 40,000 30,000 20,000

28.25%

10,000 0

Q1/2012 Others

Q4/2011

Total Operating Income

35.83%

OMR '000

Q1/2011

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

Change %

Total Operating Income

78,969

76,343

3.44

Gen Admin Expenses

30,664

28,796

6.49

Net Profit

33,429

27,839

20.08

28.36

8,000,000 7,000,000

Income Data (OMR '000)

6,000,000 5,000,000 4,000,000 3,000,000

Balance Sheet Data (OMR '000)

2,000,000 1,000,000

Cash & Balance 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

749,516

583,920

4,988,074

3,999,085

24.73

Investments

392,057

347,222

12.91

Total Assets

7,275,880

5,826,758

24.87

Deposits

5,054,801

3,787,599

33.46

Total Liabilities

Loans

6,407,721

5,043,994

27.04

Capital

181,201

154,838

17.03

320,000

Reserves

228,054

189,765

20.18

280,000

Owners Equity

867,934

782,524

10.91

-103,799

-106,890

N/M N/M

Yearly Income Data

240,000

OMR '000

Q2/2011

Total Operating Expenses

3-Month Financial Data

Total Assets

0

Q3/2011

Cash Flow Data (OMR '000)

200,000 160,000

Cash Flow From Operating Activities

120,000

From Investing Activities

-1,604

10,701

80,000

From Financing Activities

-37,126

-33,661

N/M

40,000

Increase (Decrease) in Cash

-142,529

-129,849

N/M

39,172

30,076

30.24

0

2011

2010

Total Operating Income

2009

Total Operating Expenses

2008

2007

Net Profit

Net Cash Flow


National Bank Of Oman|Banking & Investment Last Closing:

OMR

0.29 (02/07/2012)

Activities

52-Week High:

OMR

0.33 (17/07/2011)

To provide banking and investment services.

52-Week Low:

OMR

0.28 (17/05/2012)

Price Performance: Company

1-Day

Sector

Market

-0.35%

-0.84%

-0.70%

-1.05%

-0.73%

1-Week

0.00%

1-Month

0.00%

-5.71%

-2.31%

3-Month

-1.03%

-8.40%

-2.69%

1-Year

-9.38%

-2.35%

-4.98%

5-Year

-41.76%

-24.72%

-10.91%

OMR 108.10 Million

Paid Up Capital:

Daily Market Performance

1081.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Omar H. Al Fardan

0.293

OMR 313.49 Million

Market Capitalization:

Market

GCC

3

5

126

10.47%

4.54%

0.12%

Board Members:

0.291

Ratio Comparison: Sector

Market

0.99

1.37

1.00

P/E

8.68

10.63

11.60

P/B

1.15

1.20

1.51

P/R

3.27

3.16

1.43

D/Y

6.03

4.14

4.77

ROA

1.52

1.49

2.56

ROE

13.22

11.25

13.15

Net Margin

37.61

29.71

12.17

Loan/Deposit

104.16

97.33

97.33

Equity/Assets

11.51

13.23

19.49

Rawan A. Al Said Anil K. Nahar Abdullah A. Al Thani Andrew C. Stevens Saif S. S. Al Yazidi Saleh N. A. Al Habsi Suresh M. Shivdasani Robert Sharp Faisal A. S. Al Farsi

0.290

OMR

Company

Beta

CEO::Salaam S. Al Shaksy

0.292

0.289 0.288 0.287

Auditors: Ernst & Young

500,000 400,000 300,000 200,000 100,000 0

Email: info@nbo.co.om WebSite: www.nbo.co.om

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 28,000 24,000

OMR '000

Commercial Bank of Qatar

34.85% Suheil Bahwan Holding Group

14.74%

20,000 16,000 12,000 8,000 4,000 0

Q1/2012

Q4/2011

Q3/2011

Total Operating Income

Others

50.41%

Q2/2011

Q1/2011

Q3/2010

Total Operating Expenses

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 2,400,000

31/03/2012

31/03/2011

Change %

17.68

OMR '000

Income Data (OMR '000) 2,000,000

Total Operating Income

1,600,000 1,200,000 800,000

6,062

-0.35

Net Profit

9,623

7,740

24.33

Cash & Balance 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

251,289

195,165

28.76

1,791,788

1,414,831

26.64

Investments

95,590

66,609

43.51

Total Assets

2,371,306

1,868,554

26.91

Deposits

1,720,242

1,355,097

26.95

Total Liabilities

2,043,705

1,582,624

29.13

110,803

108,100

2.50

62,328

52,554

18.60

272,901

255,330

6.88

11,665

-21,248

N/M

Loans

Capital Reserves

100,000

Owners Equity

80,000

OMR '000

21,027

6,041

Balance Sheet Data (OMR '000)

400,000 0

24,745

Gen Admin Expenses

Cash Flow Data (OMR '000) 60,000

Cash Flow From Operating Activities

40,000 20,000 0

2011

2010

Total Operating Income

2009

Total Operating Expenses

2008

2007

Net Profit

From Investing Activities

-37

-4,632

N/M

From Financing Activities

-18,918

-16,215

N/M

Increase (Decrease) in Cash

-7,290

-42,095

N/M

Net Cash Flow

15,582

9,004

73.06


HSBC BANK OMAN|Banking & Investment Last Closing:

OMR

0.24 (02/07/2012)

Activities

52-Week High:

OMR

0.29 (05/01/2012)

To provide banking and commercial services.

52-Week Low:

OMR

0.22 (15/05/2012)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.84%

-0.70%

-1.05%

-0.73%

1-Week

0.00%

1-Month

1.69%

-5.71%

-2.31%

3-Month

-11.77%

-8.40%

-2.69%

1-Year

-8.40%

-2.35%

-4.98%

5-Year

-2.29%

-24.72%

-10.91%

OMR 98.02 Million

Paid Up Capital:

Daily Market Performance

980.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Simon N. Cooper

0.252

OMR 235.24 Million

Market Capitalization:

Market

GCC

4

8

151

7.86%

3.40%

0.09%

0.248

Board Members:

Juma A. J. Al Juma Aiman A. S. Al Hosni David C. Kotheimer Francesca J. McDonagh Sayed A. S. Sharaf

0.244

Ratio Comparison: Sector

Market

0.46

1.37

1.00

P/E

16.22

10.63

11.60

P/B

1.42

1.20

1.51

P/R

5.63

3.16

1.43

D/Y

5.25

4.14

4.77

ROA

1.11

1.49

2.56

ROE

8.78

11.25

13.15

Net Margin

34.72

29.71

12.17

Loan/Deposit

69.43

97.33

97.33

Equity/Assets

12.63

13.23

19.49

OMR

Company

Beta

0.240 0.236

Auditors: KPMG

0.232

Email: omanintbank@oib.co.om WebSite: www.oib.co.om

1,000,000 800,000 600,000 400,000 200,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 12,000

OMR '000

10,000

Omar A. Al Zawawi

10.67%

8,000

6,000

4,000

2,000

Others

89.33%

0

Q1/2012

Q4/2011

Q3/2011

Total Operating Income

OMR '000

1,400,000

Total Operating Income

1,000,000 800,000 600,000 400,000

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

Change %

10,511

10,900

-3.57

Gen Admin Expenses

6,004

5,434

10.49

Net Profit

2,426

4,436

-45.31

Cash & Balance

147,512

179,982

-18.04

Loans

707,526

626,305

12.97

Investments

36,244

31,015

16.86

Total Assets

1,307,810

1,120,230

16.74

Deposits

1,019,016

842,009

21.02

Total Liabilities

Balance Sheet Data (OMR '000)

200,000 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data 45,000 40,000

1,142,688

962,055

18.78

Capital

98,015

91,325

7.33

Reserves

62,140

56,624

9.74

165,122

158,175

4.39

13,529

22,734

-40.49 N/M

Owners Equity

35,000

OMR '000

Q3/2010

Income Data (OMR '000)

1,200,000

Cash Flow Data (OMR '000)

30,000

Cash Flow From Operating Activities

25,000 20,000 15,000 10,000 5,000 0

Q1/2011

3-Month Financial Data

Total Assets

0

Q2/2011

Total Operating Expenses

2011

2010

Total Operating Income

2009

Total Operating Expenses

2008

2007

Net Profit

From Investing Activities

-484

-123

From Financing Activities

-10,891

-13,699

N/M

Increase (Decrease) in Cash

2,157

8,912

-75.80

Net Cash Flow

5,965

4,626

28.95


Sohar Bank|Banking & Investment Last Closing:

OMR

0.15 (02/07/2012)

Activities

52-Week High:

OMR

0.17 (10/04/2012)

The bank is engaged in providing corporate and retail banking services.

52-Week Low:

OMR

0.13 (09/08/2011)

Price Performance: Company

Sector

Market

-0.68%

-0.84%

-0.70%

1-Week

-2.65%

-1.05%

-0.73%

1-Month

-5.17%

-5.71%

-2.31%

3-Month

-3.93%

-8.40%

-2.69%

1-Year

1.37%

-2.35%

-4.98%

5-Year

18.45%

-24.72%

-10.91%

1-Day

OMR 100.00 Million

Paid Up Capital:

Daily Market Performance

1000.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Sh. Hilal H. Al Mamary

0.158

OMR 150.00 Million

Market Capitalization:

Market

GCC

7

12

203

4.91%

2.13%

0.05%

CEO::Nani B. Javeri

0.156

Board Members:

Hussain Y. D. Al Shalwani Sh. Salem M. Al Mashaikhy Taher S. Al Amry Sami A. A. Macki Hassan A. M. Al Nabhani

0.154

Ratio Comparison: Sector

Market

1.12

1.37

1.00

P/E

8.75

10.63

11.60

P/B

1.16

1.20

1.51

P/R

3.21

3.16

1.43

D/Y

5.44

4.14

4.77

ROA

1.08

1.49

2.56

ROE

13.19

11.25

13.15

Net Margin

36.60

29.71

12.17

Loan/Deposit

88.65

97.33

97.33

Equity/Assets

8.16

13.23

19.49

OMR

Company

Beta

0.152 0.150

Auditors: KPMG

0.148

Email: info@banksohar.net WebSite: http://www.banksohar.net

6,000,000 5,000,000 4,000,000 3,000,000 2,000,000 1,000,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 14,000 12,000

OMR '000

Al Ghadeer Investments Co.

15.00%

Royal Court Affairs

14.57%

10,000 8,000 6,000 4,000 2,000 0

Q1/2012

Q4/2011

Q3/2011

Others

70.43%

Total Operating Income

1,600,000

OMR '000

Q1/2011

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

26.44

Income Data (OMR '000)

1,400,000 1,200,000

Total Operating Income

12,564

9,937

1,000,000

Gen Admin Expenses

3,581

3,401

5.29

Net Profit

5,330

3,058

74.30

68.08

800,000 600,000

Balance Sheet Data (OMR '000)

400,000 200,000 0

Cash & Balance 2011

2010

2009

2008

2007

61,613

36,657

1,055,811

930,488

13.47

170,736

54,533

213.09

Total Assets

1,559,277

1,184,786

31.61

Deposits

1,190,974

947,348

25.72

Total Liabilities

1,432,097

1,072,090

33.58

100,000

100,000

0.00

5,248

4,383

19.74

127,180

112,696

12.85

Loans Investments

Total Liabilities

Owners Equity

Yearly Income Data

Capital Reserves

45,000 40,000

Owners Equity

35,000

OMR '000

Q2/2011

Total Operating Expenses

Cash Flow Data (OMR '000)

30,000 25,000 20,000

Cash Flow From Operating Activities

10,525

-65,141

N/M

15,000

From Investing Activities

-1,493

-4,572

N/M

10,000

From Financing Activities

5,000 0 -5,000

2011

2010

Total Operating Income

2009

Total Operating Expenses

2008

2007

Net Profit

-6,000

Increase (Decrease) in Cash

9,032

-75,713

N/M

Net Cash Flow

6,230

4,553

36.83


Al Batinah Development & Investment Holding Co.|Banking & Investment Last Closing:

OMR

0.03 (02/07/2012)

Activities

52-Week High:

OMR

0.05 (10/10/2011)

Investment and participation in management of commercial, industrial, infrastructure and tourism projects in Oman.

52-Week Low:

OMR

0.03 (27/06/2012)

Price Performance: Company

Sector

Market

0.00%

-0.84%

-0.70%

1-Week

-3.04%

-1.05%

-0.73%

1-Month

-8.58%

-5.71%

-2.31%

3-Month

-13.52%

-8.40%

-2.69%

1-Year

-27.28%

-2.35%

-4.98%

5-Year

-51.45%

-24.72%

-10.91%

1-Day

OMR 6.00 Million

Paid Up Capital:

Daily Market Performance

60.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Ali A. Al Badi

0.037

OMR 1.80 Million

Market Capitalization:

Market

GCC

27

100

638

0.06%

0.03%

0.00%

CEO::Saleh A. Al Badi

0.036

Board Members:

0.033

Khalfan S. Al Kaabi Salah H. Al Ma'wali Waleed M. Al Saleh Nasser S. Al Harthi Mshari Y. Al Onaizy Waseem S. Abdu Qaraeen Emad R. Al-Batayneh

0.032

Auditors: BDO Jawad Habib

0.035

Ratio Comparison: Sector

Market

1.56

1.37

1.00

P/E

-2.94

10.63

11.60

P/B

0.54

1.20

1.51

P/R

1.00

3.16

1.43

D/Y

0.00

4.14

4.77

ROA

-16.45

1.49

2.56

ROE

-18.54

11.25

13.15

Net Margin

-34.01

29.71

12.17

Current Ratio

5.95

1.67

1.24

Equity/Assets

88.71

13.23

19.49

OMR

Company

Beta

0.034

Email: albatina@omantel.net.om

700,000 600,000 500,000 400,000 300,000 200,000 100,000 0

WebSite:

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 800

OMR '000

600 400 200 0 -200 -400 -600

Q1/2012

Q4/2011

Q3/2011

Revenues

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 10,000

31/03/2012

31/03/2011

Change %

OMR '000

Income Data (OMR '000) 8,000

476

411

15.82

6,000

Revenues Gross Profit

94

114

-17.54

4,000

Gen Admin Expenses

63

227

-72.25

Net Profit

27

-198

N/M

2,000

Balance Sheet Data (OMR '000) 0

2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

342

768

-55.47

Inventories

861

1,463

-41.15

Account Receivable

793

471

68.37

2,224

2,952

-24.66

Current Assets Current Liabilities

374

883

-57.64

Working Capital

1,850

2,069

-10.58

4,000

Total Assets

3,976

8,058

-50.66

3,000

Total Liabilities

430

2,914

-85.24

2,000

Capital

6,000

6,000

0.00

1,000

Reserves

377

401

-5.99

OMR '000

Yearly Income Data

Long Term Debts

0 -1,000 -2,000

14

1,969

-99.29

3,527

4,634

-23.89

Cash Flow From Operating Activities

68

-238

N/M

From Investing Activities

11

-23

N/M

-127

274

N/M

-48

12

N/M

Owners Equity Cash Flow Data (OMR '000) 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

From Financing Activities Increase (Decrease) in Cash Net Cash Flow


Al Omaniya Financial Services Co.|Banking & Investment Last Closing:

OMR

0.30 (02/07/2012)

Activities

52-Week High:

OMR

0.32 (18/12/2011)

The company is engaged in providing hire-purchase financing services for the purchase of vehicles and other assets.

52-Week Low:

OMR

0.26 (23/08/2011)

Price Performance: Company

1-Day

Sector

Market

-1.67%

-0.84%

-0.70%

-1.05%

-0.73% -2.31%

1-Week

1.72%

1-Month

0.00%

-5.71%

3-Month

-0.41%

-8.40%

-2.69%

1-Year

3.94%

-2.35%

-4.98%

5-Year

19.33%

-24.72%

-10.91%

OMR 16.34 Million

Paid Up Capital:

Daily Market Performance

163.00 Million

Outstanding Shares:

Sector

Share

Market

CEO::Aftab Patel

GCC

10

27

377

1.61%

0.70%

0.02%

Rank

0.298

Board Members:

Ibrahim S. S. Al Wahaibi K. K. Abdul Razak Zaki H. E. Al Naseeb Hamood M. A. Al Mashani Saif A. S. Al-Amri Shikar B. Dharamsey Ketan D. Vasa

0.296

Ratio Comparison: Sector

Market

0.16

1.37

1.00

P/E

9.77

10.63

11.60

P/B

1.11

1.19

1.51

P/R

3.36

3.16

1.43

D/Y

6.47

4.14

4.77

ROA

2.87

1.49

2.56

ROE

11.35

11.25

13.15

Net Margin

34.31

29.71

12.17

Current Ratio

2.13

1.67

1.24

Equity/Assets

25.25

13.23

19.49

OMR

Company

Beta

0.294 0.292

Auditors: Ernst & Young Email: aofsoman@omantel.net.om

100,000 80,000 60,000 40,000 20,000 0

WebSite:

5/20

5/27

6/3

6/10

6/17

Shareholders

OMR '000

11.17% Muscat Overseas Co.

16.85%

Assarain Enterprise

9.26%

7/1

3,800 3,600 3,400 3,200 3,000 2,800 2,600 2,400 2,200 2,000 1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Others

Q3/2011

Revenues

50.71%

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 160,000

OMR '000

6/24

Quarterly Income Data

Ministry of Defence Civil Service Pension Fund Employees Pension Fund 12.01%

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

140,000 120,000

Revenues

3,732

3,296

13.23

100,000

Gross Profit

2,769

2,360

17.33

960

789

21.67

1,072

973

10.17

80,000 60,000

Gen Admin Expenses

40,000

Net Profit

20,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

4,205

1,332

215.69

Account Receivable

165,485

132,159

25.22

Current Assets

169,923

133,739

27.06

79,927

59,394

34.57 21.05

Current Liabilities Working Capital

89,996

74,345

Total Assets

171,947

135,396

27.00

14,000

Total Liabilities

128,522

93,789

37.03

12,000

Capital

16,336

15,558

5.00

10,000

Reserves

5,186

5,186

0.00

43,425

41,607

4.37

Yearly Income Data

OMR '000

Chairman: Khalid S. Al Wahaibi

0.300

OMR 49.01 Million

Market Capitalization:

8,000

Owners Equity

6,000

Cash Flow Data (OMR '000)

4,000

Cash Flow From Operating Activities

2,000 0

2011

2010

2009

2008

2007

5,763

-2,689

N/M

From Investing Activities

-139

-26

N/M

From Financing Activities

-3,112

-2,800

N/M

2,512

-5,515

N/M

1,671

14.96

Increase (Decrease) in Cash Revenues Gross Profit Net Profit

Net Cash Flow

1,921


Sharqiya Investment Holding Co.|Banking & Investment Last Closing:

OMR

0.10 (02/07/2012)

Activities

52-Week High:

OMR

0.12 (22/04/2012)

52-Week Low:

OMR

0.08 (13/02/2012)

To participate in real estate investment and civil construction works and provide finance and administrative services to affiliate companies and to invest in securities.

Price Performance: Company

Sector

Market

0.00%

-0.84%

-0.70%

1-Week

-1.02%

-1.05%

-0.73%

1-Month

-5.77%

-5.71%

-2.31%

3-Month

-2.98%

-8.40%

-2.69%

1-Year

-2.00%

-2.35%

-4.98%

5-Year

-28.42%

-24.72%

-10.91%

1-Day

OMR 8.00 Million

Paid Up Capital:

Daily Market Performance

80.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Mohammad R. A. Al Arami

0.106

OMR 8.00 Million

Market Capitalization:

Market

GCC

23

75

600

0.26%

0.11%

0.00%

CEO::Abdulla S. Al Harthy

0.105 Board Members:

0.104

Ali M. A. Al Mahruqi Saleh A. M. Al Harthy Budur M. R. Al Araimi Ahmad A. M. Al Araimi Mohammed A. F. Al Araimi Ishaq Z. K. Almawali

0.103

Ratio Comparison: Sector

Market

1.12

1.37

1.00

P/E

13.07

10.63

11.60

P/B

0.51

1.19

1.51

P/R

5.24

3.16

1.43

D/Y

7.14

4.14

4.77

ROA

3.13

1.49

2.56

ROE

3.89

11.25

13.15 12.17

Net Margin

40.19

29.71

Current Ratio

1.38

1.67

1.24

Equity/Assets

80.51

13.23

19.49

OMR

Company

Beta

0.102 0.101

Auditors: KPMG

0.100 0.099

Email: info@asharqiya.com WebSite: www.asharqiya.com

3,200,000 2,800,000 2,400,000 2,000,000 1,600,000 1,200,000 800,000 400,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 800

600

OMR '000

Salem S. H. Al Araimi

17.70%

Mohammad R. A. Al Araimi

10.80%

400

200

0

-200

Q1/2012

Others

Q4/2011

Q3/2011

Q2/2011

Q1/2011

Q3/2010

Q2/2010

Q1/2010

71.50%

Revenues

Gross Profit

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

718

450

59.56

55

41

34.15

514

284

80.99

186

476

-60.92

55

35

57.14

Current Assets

2,164

2,996

-27.77

Current Liabilities

1,567

2,212

-29.16

24,000

OMR '000

Income Data (OMR '000) 20,000

Revenues

16,000

Gross Profit

12,000

Gen Admin Expenses

8,000

Net Profit

4,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

2008

2007

Cash Account Receivable

Total Liabilities

Owners Equity

Working Capital

Yearly Income Data

Total Assets

784

-23.85

16,456

16.54 62.38

4,000

Total Liabilities

3,738

2,302

3,500

Capital

8,000

8,000

0.00

Reserves

4,507

3,762

19.80

15,439

14,154

9.08

-922

-893

N/M

3,000

OMR '000

597 19,177

2,500

Owners Equity

2,000

Cash Flow Data (OMR '000)

1,500

Cash Flow From Operating Activities

1,000 500 0

From Investing Activities 2011

2010

2009

2008

2007

From Financing Activities Increase (Decrease) in Cash

Revenues Gross Profit Net Profit

Net Cash Flow

-300

452

N/M

-1,222

-441

N/M

597

413

44.55


Al Shurooq Investment Services Co.|Banking & Investment Last Closing:

OMR

1.15 (02/07/2012)

Activities

52-Week High:

OMR

1.15 (13/07/2011)

52-Week Low:

OMR

1.15 (13/07/2011)

Trading for its own account in the local and international markets, portfolio management, in addition to providing investment, and financial consultancy services.

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.84%

-0.70%

-1.05%

-0.73%

1-Week

0.00%

1-Month

0.00%

-5.71%

-2.31%

3-Month

0.00%

-8.40%

-2.69%

1-Year

0.00%

-2.35%

-4.98%

5-Year

-25.28%

-24.72%

-10.91%

OMR 5.00 Million

Paid Up Capital:

Daily Market Performance

5.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

24

78

609

0.19%

0.08%

0.00%

Board Members:

1.4

Market

-0.07

1.37

1.00

P/E

-7.52

10.63

11.60

P/B

1.21

1.19

1.51

P/R

-117.35

3.16

1.43

D/Y ROA ROE Net Margin

0.00

4.14

4.77

-11.52

1.49

2.56

-16.12

11.25

13.15

1,561.22

29.71

12.17

Current Ratio

3.23

1.67

1.24

Equity/Assets

71.47

13.23

19.49

Nabeel J. Sultan Omar M. Al Quqa Sailish K. Dash

1.2

OMR

Sector

Beta

CEO::Fauzia A. Al Khanjiri

1.6

Ratio Comparison: Company

Chairman: Maha K. Al Ghunaim

1.8

OMR 5.75 Million

Market Capitalization:

Auditors: Abu Tamam Auditors

1 0.8

Email: sisco@oman.net.om

0.6

WebSite: www.siscooman.com

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data

OMR '000

200

0

-200

-400

Q1/2012

Q4/2011

Q3/2011

Revenues

8,000

OMR '000

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

76

99

-23.23

Income Data (OMR '000)

7,000 6,000

Revenues

5,000

Gross Profit

4,000 3,000

Gen Admin Expenses

167

152

9.87

2,000

Net Profit

-91

-52

N/M

4,453

2,814

58.24

633

712

-11.10

Current Assets

6,113

5,573

9.69

Current Liabilities

1,893

534

254.49 -16.25

1,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

2008

2007

Cash Account Receivable

Total Liabilities

Owners Equity

Working Capital

4,220

5,039

Total Assets

6,639

6,043

9.86

800

Total Liabilities

1,893

534

254.49

600

Capital

5,000

5,000

0.00

123

123

0.00

4,745

5,510

-13.88

Yearly Income Data

400

OMR '000

Q2/2011

Reserves

200

Owners Equity

0

Cash Flow Data (OMR '000)

-200 -400

Cash Flow From Operating Activities

179

-1,198

N/M

-600

From Investing Activities

141

-150

N/M

319

-1,348

N/M

-110

-82

N/M

-800

2011

2010

2009

2008

2007

From Financing Activities Increase (Decrease) in Cash

Revenues Gross Profit Net Profit

Net Cash Flow


Dhofar International Dev. & Inv. Holding Co.|Banking & Investment Last Closing:

OMR

0.40 (02/07/2012)

Activities

52-Week High:

OMR

0.53 (14/03/2012)

To invest in all types of business and development of new projects.

52-Week Low:

OMR

0.39 (09/08/2011)

Price Performance: Company

Sector

Market

0.00%

-0.84%

-0.70%

1-Week

-1.25%

-1.05%

-0.73%

1-Month

-8.14%

-5.71%

-2.31%

3-Month

-17.54%

-8.40%

-2.69%

1-Year

-7.06%

-2.35%

-4.98%

5-Year

9.72%

-24.72%

-10.91%

1-Day

OMR 20.00 Million

Paid Up Capital:

Daily Market Performance

200.00 Million

Outstanding Shares:

Sector

Share

Market

GCC

9

20

301

2.64%

1.14%

0.03%

Rank

Chairman: Khaled M. A. Al Mashani

0.435

OMR 80.00 Million

Market Capitalization:

0.430 Board Members:

0.425

Ahmad A. S. Al Rawas Humood I. S. Al Zadjali Salem A. B. Baomar Salem M. S. Al Shanfari Omar A. A. Al Shaikh Mustafa A. S. Al Ghassani Ahmed M. S. Al Kaf Dr. Anwar M. Al Rawas Salim T. Al Mashani Qais M. A. Al Mashani

0.420

Ratio Comparison: Sector

Market

1.36

1.37

1.00

P/E

35.27

10.63

11.60

P/B

1.04

1.19

1.51

P/R

37.98

3.16

1.43

D/Y

10.13

4.14

4.77

ROA

1.35

1.49

2.56

ROE

2.95

11.25

13.15

Net Margin

108.09

29.71

12.17

Current Ratio

9.03

1.67

1.24

Equity/Assets

45.73

13.23

19.49

OMR

Company

Beta

0.415 0.410 0.405 0.400

Auditors: PricewaterhouseCoopers

400,000 350,000 300,000 250,000 200,000 150,000 100,000 50,000 0

Email: didico@omantel.net.om WebSite: http://www.didic.net

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 12,000 10,000

OMR '000

8,000

Muscat Overseas Co.

16.20%

Dhofar Feeds Co.

6,000 4,000 2,000

6.00%

0 -2,000 -4,000 -6,000

Others

Q1/2012

77.80%

Q4/2011

Q3/2011

Revenues

180,000

OMR '000

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

Change %

1,047

159

558.49

338

232

45.69

2,020

56.93

19,416

19

102,089.47

3,805

4,338

-12.29

42,166

9,383

349.39

4,672

8,296

-43.68 3,349.31

Income Data (OMR '000)

160,000 140,000

Revenues

120,000

Gross Profit

100,000 80,000

Gen Admin Expenses

60,000

Net Profit

40,000

3,170

Balance Sheet Data (OMR '000)

20,000 2011

2010

2009

2008

2007

Cash Account Receivable

Total Liabilities

Current Assets

Owners Equity

Current Liabilities Working Capital

Yearly Income Data

OMR '000

Q1/2011

3-Month Financial Data

Total Assets

0

Q2/2011

Total Assets

37,494

1,087

166,211

110,829

49.97

20,000

Total Liabilities

89,927

34,440

161.11

16,000

Capital

20,000

20,000

0.00

Reserves

20,558

18,896

8.80

Owners Equity

76,014

76,107

-0.12

N/M

12,000

Cash Flow Data (OMR '000)

8,000

Cash Flow From Operating Activities

4,000 0

2011

2010

2009

2008

2007

-57

-245

From Investing Activities

-2,066

-1,584

N/M

From Financing Activities

1,960

1,821

7.63

-162

-8

N/M

Increase (Decrease) in Cash Revenues Gross Profit Net Profit

Net Cash Flow


Financial Services Co.|Banking & Investment Last Closing:

OMR

0.07 (02/07/2012)

Activities

52-Week High:

OMR

0.10 (04/04/2012)

Engaged in share trading activities, funds management, and marketing of new issues for its own account and others'.

52-Week Low:

OMR

0.05 (15/08/2011)

Price Performance: Company

Sector

Market

0.00%

-0.84%

-0.70%

1-Week

-1.34%

-1.05%

-0.73%

1-Month

-3.90%

-5.71%

-2.31%

3-Month

-11.91%

-8.40%

-2.69%

1-Year

-7.50%

-2.35%

-4.98%

5-Year

-56.22%

-24.72%

-10.91%

1-Day

OMR 6.50 Million

Paid Up Capital:

Daily Market Performance

65.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Mohammad A. Mugaibil

0.082

OMR 4.55 Million

Market Capitalization:

Market

GCC

26

82

616

0.16%

0.07%

0.00%

0.080

Board Members:

0.076

Abdulrahman S. Al Dahab Said A. T. Al Rowas Abdullah A. Al Shanfari Ahmad A. B. Ibrahim Ali H. A. Al Ghafri Mustafa A. S. Al Ghassani

0.074

Auditors: PricewaterhouseCoopers

0.078

Ratio Comparison: Sector

Market

1.52

1.37

1.00

P/E

-3.79

10.63

11.60

P/B

0.89

1.19

1.51

P/R

5.44

3.16

1.43

D/Y

0.00

4.14

4.77

ROA

-14.09

1.49

2.56

ROE

-23.32

11.25

13.15 12.17

Net Margin

-142.89

29.71

Current Ratio

0.57

1.67

1.24

Equity/Assets

60.40

13.23

19.49

OMR

Company

Beta

Email: finco@omantel.net.om WebSite: http://www.finserve.net

180,000 160,000 140,000 120,000 100,000 80,000 60,000 40,000 20,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,000 800

OMR '000

600 400 200 0 -200 -400 -600 -800

Q1/2012

Q4/2011

Q3/2011

Revenues

18,000

OMR '000

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

Change %

327

-300

N/M

37

83

-55.42

114

-635

N/M

-79.28

Income Data (OMR '000)

16,000 14,000

Revenues

12,000

Gross Profit

10,000 8,000

Gen Admin Expenses

6,000

Net Profit

4,000

Balance Sheet Data (OMR '000)

2,000 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

202

975

Account Receivable

1,802

1,845

-2.33

Current Assets

2,005

2,820

-28.90

Current Liabilities

3,503

3,926

-10.77

Working Capital

-1,498

-1,106

N/M

Total Assets

8,988

10,669

-15.76

4,000

Total Liabilities

3,559

3,992

-10.85

3,000

Capital

6,500

6,500

0.00

Reserves

3,578

3,594

-0.45

Owners Equity

5,429

6,677

-18.69

N/M

Yearly Income Data

2,000

OMR '000

Q1/2011

3-Month Financial Data

Total Assets

0

Q2/2011

1,000 0

Cash Flow Data (OMR '000)

-1,000 -2,000

Cash Flow From Operating Activities

-934

-153

-3,000

From Investing Activities

-20

482

N/M

From Financing Activities

541

344

57.27

-413

673

N/M

43

-13

N/M

-4,000

2011

2010

2009

2008

2007

Increase (Decrease) in Cash Revenues Gross Profit Net Profit

Net Cash Flow


Global Financial Inv. Co.|Banking & Investment Last Closing:

OMR

0.09 (02/07/2012)

Activities

52-Week High:

OMR

0.11 (19/04/2012)

52-Week Low:

OMR

0.05 (07/08/2011)

The company is engaged in share trading activities, investment portfolio management, and marketing of new issues on behalf of its clients.

Price Performance: Company

1-Day

Sector

Market

-1.14%

-0.84%

-0.70%

-1.05%

-0.73% -2.31%

1-Week

2.35%

1-Month

-2.25%

-5.71%

3-Month

-7.45%

-8.40%

-2.69%

1-Year

74.00%

-2.35%

-4.98%

5-Year

-7.16%

-24.72%

-10.91%

OMR 30.00 Million

Paid Up Capital:

Daily Market Performance

300.00 Million

Outstanding Shares:

Sector Rank Share

Market

14

41

475

0.87%

0.38%

0.01%

Sector

1.37

1.00

-31.07

10.62

11.60

P/B

0.75

1.19

1.51

P/R

13.38

3.16

1.43

D/Y

0.00

4.14

4.77

ROA

-2.16

1.49

2.56

-2.39

11.25

13.15

-42.94

29.71

12.17

P/E

ROE Net Margin

0.092

Board Members:

0.090

Mohammad H. M. Al Jaghbeer Fayez M. M. Hasan Adnan Tayeh

0.088

Auditors: Deloitte & Touche

Market

1.48

Current Ratio

4.66

1.67

1.24

Equity/Assets

90.37

13.23

19.49

OMR

Company

CEO::Jamal S. R. Al-Ojaili

GCC

Ratio Comparison: Beta

Chairman: Sulaiman A. S. Al Hoqani

0.094

OMR 27.00 Million

Market Capitalization:

Email: gfioman@omantel.net.om

0.086

WebSite: www.gfioman.com

5,000,000 4,000,000 3,000,000 2,000,000 1,000,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,200 1,000 800

11.32% Sulaiman A. S. Al Hoqani

Hasan E. Al Naseeb

9.28%

24.30%

600

OMR '000

Salem A. S. Al Hoqani Mohammad S. M. Al 12.73% Mahmood

400 200 0 -200 -400 -600 -800 -1,000 -1,200

Q1/2012

Q4/2011

Others

Revenues

42.36%

OMR '000

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2011

Change %

1,038

-38

N/M

Gen Admin Expenses

165

156

5.77

Net Profit

256

-334

N/M

Cash

3,902

4,012

-2.74

Account Receivable

2,648

2,505

5.71

14,087

13,487

4.45

3,022

2,784

8.55

Working Capital

11,065

10,703

3.38

Total Assets

38,595

38,715

-0.31 4.49

Income Data (OMR '000)

40,000 35,000

Revenues

30,000

Gross Profit

25,000 20,000 15,000 10,000

Balance Sheet Data (OMR '000)

5,000 2011

2010

2009

Total Liabilities

2008

2007

Current Assets

Owners Equity

Current Liabilities

Yearly Income Data

OMR '000

Q1/2011

31/03/2012

45,000

8,000

Total Liabilities

6,000

Capital

4,000

Reserves

2,000

Owners Equity

0

3,650

3,493

30,000

30,000

0.00

3,102

2,593

19.63

34,878

34,682

0.57

Cash Flow Data (OMR '000)

-2,000

Cash Flow From Operating Activities

-4,000 -6,000

Q2/2011

3-Month Financial Data

Total Assets

0

Q3/2011

2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

-392

-859

N/M

From Investing Activities

8

20

-60.00

From Financing Activities

-343

226

N/M

Increase (Decrease) in Cash

-727

160

N/M

870

-1,152

N/M

Net Cash Flow


Gulf Investment Services Co.|Banking & Investment Last Closing:

OMR

0.08 (02/07/2012)

Activities

52-Week High:

OMR

0.11 (04/04/2012)

52-Week Low:

OMR

0.05 (30/11/2011)

The company is engaged in share trading activities, funds management, and marketing of new issues for its own account and others'.

Price Performance: Company

1-Day

Sector

Market

-1.30%

-0.84%

-0.70% -0.73% -2.31%

-2.57%

-1.05%

1-Month

-12.65%

-5.71%

3-Month

-20.84%

-8.40%

-2.69%

1-Year

22.58%

-2.35%

-4.98%

5-Year

-45.87%

-24.72%

-10.91%

1-Week

OMR 15.02 Million

Paid Up Capital:

Daily Market Performance

150.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Hatem B. Al Shanfari

0.096

OMR 12.02 Million

Market Capitalization:

Market

GCC

20

65

569

0.38%

0.17%

0.00%

0.092

Board Members:

Mukhtar M. Hasan K. K. Abdulrazak Salem T. M. Al Mashani Badar A. Al Shanfari Aftab A. Patel Pradeep Asrani

0.088

Ratio Comparison: Sector

Market

1.92

1.37

1.00

P/E

16.17

10.62

11.60

P/B

0.69

1.19

1.51

P/R

5.63

3.16

1.43

D/Y

6.58

4.14

4.77

ROA

2.99

1.49

2.56

ROE

4.27

11.25

13.15 12.17

Net Margin

34.76

29.71

Current Ratio

4.33

1.67

1.24

Equity/Assets

70.04

13.23

19.49

OMR

Company

Beta

0.084 0.080

Auditors: KPMG

0.076

Email: gisoman@oman.net.om WebSite: www.gisoman.net

3,500,000 3,000,000 2,500,000 2,000,000 1,500,000 1,000,000 500,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,600 1,400 1,200 1,000

OMR '000

800 600 400 200 0 -200 -400 -600 -800 -1,000 -1,200 -1,400 -1,600

Q1/2012

Q4/2011

Q3/2011

Revenues

OMR '000

35,000

25,000

Revenues

20,000

Gross Profit

15,000

Gen Admin Expenses

10,000

Net Profit

5,000

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

Change %

1,439

388

270.88

95

127

-25.20

77

1,363.64

1,127

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Cash

1,223

840

45.60

Account Receivable

1,586

4,286

-63.00

21,803

21,666

0.63

5,041

5,799

-13.07

Working Capital

16,762

15,867

5.64

Total Assets

23,590

23,805

-0.90 -13.07

Current Assets

Owners Equity

Current Liabilities

Yearly Income Data 12,000

Total Liabilities

10,000

Capital

8,000

OMR '000

Gross Profit

Q3/2010

Income Data (OMR '000)

30,000

Reserves

6,000

Owners Equity

4,000

5,041

5,799

15,023

15,023

0.00

3,593

3,610

-0.47

16,522

15,821

4.43

-393

-1,945

N/M

602

705

-14.61

74

-27

N/M

282

-1,267

N/M

532

-38.72

Cash Flow Data (OMR '000)

2,000

Cash Flow From Operating Activities

0 -2,000 -4,000

Q1/2011

3-Month Financial Data

Total Assets

0

Q2/2011

From Investing Activities 2011

2010

2009

2008

2007

From Financing Activities Increase (Decrease) in Cash

Revenues Gross Profit Net Profit

Net Cash Flow

326


Muscat Finance Co. Ltd.|Banking & Investment Last Closing:

OMR

0.17 (02/07/2012)

Activities

52-Week High:

OMR

0.22 (24/01/2012)

52-Week Low:

OMR

0.16 (10/05/2012)

The company is engaged in financing of installment purchase transactions, providing loans for the purchase of vehicles and other moveable assets in addition to debt factoring services.

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.84%

-0.70%

-1.05%

-0.73%

1-Week

0.00%

1-Month

3.63%

-5.71%

-2.31%

3-Month

-7.57%

-8.40%

-2.69%

1-Year

-7.57%

-2.35%

-4.98%

5-Year

52.54%

-24.72%

-10.91%

OMR 16.80 Million

Paid Up Capital:

Daily Market Performance

168.00 Million

Outstanding Shares:

Sector

Share

Market

GCC

13

39

458

0.96%

0.42%

0.01%

Rank

Chairman: Faisal M. Al Yousef

0.171

OMR 28.56 Million

Market Capitalization:

CEO::Ajit Engineer

0.170

Board Members:

Arun K. Vyas V. Venkataraman Qais M. Al Yousef Abdulamir S. Mohamed Ali H. Sulaiman Harish Abichandani

0.169

Ratio Comparison: Sector

Market

0.30

1.37

1.00

P/E

7.92

10.62

11.60

P/B

1.11

1.19

1.51

P/R

3.16

3.16

1.43

D/Y

4.15

4.14

4.77

ROA

3.93

1.49

2.56

ROE

14.01

11.25

13.15

Net Margin

12.17

39.83

29.71

Current Ratio

1.60

1.67

1.24

Equity/Assets

28.05

13.23

19.49

OMR

Company

Beta

0.168 0.167

Auditors: PricewaterhouseCoopers

0.166

Email: marketing@mfcoman.com WebSite: www.mfcoman.com

600,000 500,000 400,000 300,000 200,000 100,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 2,400 2,200 2,000

OMR '000

Al Zawawi Trading Co.

17.45%

Fincorp Investment Co.

23.03%

Al Siraj Investment & Projects Co.

10.40%

1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Others

Q3/2011

Revenues

49.12%

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 100,000

31/03/2012

31/03/2011

Change %

OMR '000

Income Data (OMR '000) 80,000

Revenues

2,312

2,214

4.43

60,000

Gross Profit

1,826

1,683

8.50

40,000

Gen Admin Expenses

529

507

4.34

Net Profit

964

910

5.93

20,000

Balance Sheet Data (OMR '000) 0

2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data 10,000

OMR '000

8,000

Cash

333

477

-30.19

Account Receivable

91,038

82,595

10.22

Current Assets

91,582

83,254

10.00

Current Liabilities

57,333

48,791

17.51

Working Capital

34,249

34,463

-0.62

Total Assets

92,289

84,101

9.74

Total Liabilities

66,406

61,845

7.37

Capital

20,161

16,801

20.00

Reserves 6,000

Owners Equity

4,389

8.16

22,256

16.30

Cash Flow Data (OMR '000)

4,000

Cash Flow From Operating Activities

2,000 0

4,747 25,883

2011

2010

2009

2008

2007

-1,825

-153

N/M

From Investing Activities

-6

-11

N/M

From Financing Activities

887

-567

N/M

-944

-731

N/M

1,787

6.04

Increase (Decrease) in Cash Revenues Gross Profit Net Profit

Net Cash Flow

1,895


Muscat National Holding Co.|Banking & Investment Last Closing:

OMR

1.77 (02/07/2012)

Activities

52-Week High:

OMR

2.20 (22/11/2011)

General insurance, life insurance, in addition to general investments.

52-Week Low:

OMR

1.58 (13/07/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.84%

-0.70%

-1.05%

-0.73%

1-Week

0.00%

1-Month

0.00%

-5.71%

-2.31%

3-Month

-7.11%

-8.40%

-2.69%

1-Year

11.63%

-2.35%

-4.98%

5-Year

-4.60%

-24.72%

-10.91%

OMR 5.00 Million

Paid Up Capital:

Daily Market Performance

5.00 Million

Outstanding Shares:

Market

GCC

2.6

21

70

590

2.4

Board Members:

0.29%

0.13%

0.00%

2.2

Ranjeet Singh Jamal M. A. Abdullah Arun K. Vyas

Sector Rank Share

Chairman: Reem O. Al Zawawi

2.8

OMR 8.85 Million

Market Capitalization:

2

Ratio Comparison: Sector

Market

0.00

1.37

1.00

P/E

5.09

10.62

11.60

P/B

0.58

1.19

1.51

P/R

0.62

3.16

1.43

D/Y

0.00

4.14

4.77

ROA

4.40

1.49

2.56

ROE

11.34

11.25

13.15

Net Margin

12.13

29.71

12.17

Current Ratio

4.44

1.67

1.24

Equity/Assets

38.83

13.23

19.49

OMR

Company

Beta

1.8

Auditors: KPMG

1.6 1.4

Email: mic@omzest.com

1.2

WebSite: www.omzest.com

1 180,000 160,000 140,000 120,000 100,000 80,000 60,000 40,000 20,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 8,000

OMR '000

6,000

Dubai Financial Co.

41.10%

Orix Est.

15.80%

4,000

2,000

0

-2,000

Q1/2012

Q4/2011

Others

Revenues

43.10%

40,000

OMR '000

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

35,000 30,000

Revenues

7,338

6,682

9.82

25,000

Gross Profit

646

585

10.43

15,000

Gen Admin Expenses

307

336

-8.63

10,000

Net Profit

489

568

-13.91

Cash

1,384

4,127

-66.46

Account Receivable

4,385

1,407

211.66

32,296

29,980

7.73

7,279

7,063

3.06

Working Capital

25,017

22,917

9.16

Total Assets

39,400

37,185

5.96

Total Liabilities

24,101

23,261

3.61

Capital

5,000

5,000

0.00

8,000

Reserves

6,566

6,277

4.60

6,000

Owners Equity

15,300

13,924

9.88

20,000

5,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Current Assets

Owners Equity

Current Liabilities

Yearly Income Data 14,000 12,000 10,000

OMR '000

Q3/2011

4,000

Cash Flow Data (OMR '000)

2,000

Cash Flow From Operating Activities

0 -2,000 -4,000

2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

18

2,668

-99.33

From Investing Activities

439

1,141

-61.52

From Financing Activities

-719

-1,008

N/M

Increase (Decrease) in Cash

-262

2,802

N/M

330

242

36.36

Net Cash Flow


National Finance Co.|Banking & Investment Last Closing:

OMR

0.11 (02/07/2012)

Activities

52-Week High:

OMR

0.15 (05/01/2012)

The company is engaged in providing lease financing services.

52-Week Low:

OMR

0.11 (19/07/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.84%

-0.70%

-1.05%

-0.73%

1-Week

0.00%

1-Month

0.00%

-5.71%

-2.31%

3-Month

-3.39%

-8.40%

-2.69%

1-Year

-5.00%

-2.35%

-4.98%

5-Year

5.75%

-24.72%

-10.91%

OMR 17.55 Million

Paid Up Capital:

Daily Market Performance

175.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Taya J. Ali

0.1160

OMR 19.31 Million

Market Capitalization:

Market

GCC

18

47

503

0.67%

0.29%

0.01%

0.1156 Board Members:

0.1152

Ahmed S. Zaki Ziyad M. Al Zubair Pramod G. Karajgikar Dr. Hamad H. M. Al Dhahab C.S. Badrinath

0.1148 Company

Sector

Market

Beta

0.30

1.37

1.00

P/E

5.23

10.62

11.60

P/B

0.65

1.19

1.51

P/R

1.85

3.16

1.43

D/Y

6.14

4.14

4.77

ROA

3.36

1.49

2.56

ROE

12.50

11.25

13.15

Net Margin

12.17

35.34

29.71

Current Ratio

0.81

1.67

1.24

Equity/Assets

26.90

13.23

19.49

0.1144

OMR

Ratio Comparison:

0.1140

Auditors: KPMG

0.1136

Email: robert.pancras@natfinco.com

0.1132

WebSite: www.natfinco.com

600,000 500,000 400,000 300,000 200,000 100,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 3,000 2,800 2,600 2,400

OMR '000

Oman International Development & Investment Co.

23.74%

Others

36.87%

2,200 2,000 1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Q3/2011

Q2/2011

Q1/2011

Q3/2010

Q2/2010

Q1/2010

Al Hilal Investment Co.

Revenues

39.39%

Gross Profit

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Revenues

2,795

2,244

24.55

Gross Profit

1,991

1,522

30.81

Gen Admin Expenses

773

618

25.08

Net Profit

916

641

42.90

Cash

2,466

676

264.79

Account Receivable

2,261

898

151.78

Current Assets

46,810

1,624

2,782.39

Current Liabilities

30.87

120,000

Change %

OMR '000

Income Data (OMR '000) 100,000 80,000 60,000 40,000 20,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

OMR '000

Yearly Income Data

57,711

44,099

Working Capital

-10,901

-42,475

N/M

Total Assets

113,610

90,448

25.61

12,000

Total Liabilities

83,044

69,449

19.58

10,000

Capital

25,055

17,555

42.72

2,821

2,671

5.62

30,566

20,999

45.56

8,000

Reserves

6,000

Owners Equity Cash Flow Data (OMR '000)

4,000

Cash Flow From Operating Activities

2,000 0

2011

2010

2009

2008

2007

1,406

-5,914

N/M

From Investing Activities

-260

-42

N/M

From Financing Activities

-417

3,288

N/M

729

-2,668

N/M

1,895

20.05

Increase (Decrease) in Cash Revenues Gross Profit Net Profit

Net Cash Flow

2,275


National Securities Co.|Banking & Investment Last Closing:

OMR

0.07 (02/07/2012)

Activities

52-Week High:

OMR

0.11 (13/07/2011)

52-Week Low:

OMR

0.06 (07/06/2012)

The company is engaged in share trading activities, investment portfolio management, and marketing of new issues for its own account and on behalf of its clients'.

Price Performance: Company

Sector

Market

0.00%

-0.84%

-0.70%

1-Week

0.00%

-1.05%

-0.73%

1-Month

-5.80%

-5.71%

-2.31%

3-Month

-16.67%

-8.40%

-2.69%

1-Year

-40.91%

-2.35%

-4.98%

5-Year

-20.74%

-24.72%

-10.91%

1-Day

OMR 2.50 Million

Paid Up Capital:

Daily Market Performance

25.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

28

101

639

0.05%

0.02%

0.00%

Board Members:

0.074

Market

0.01

1.37

1.00

P/E

-4.33

10.62

11.60

P/B

1.07

1.19

1.51

P/R

6.77

3.16

1.43

D/Y ROA ROE Net Margin

0.00

4.14

4.77

-13.10

1.49

2.56

-24.70

11.25

13.15

-156.67

29.71

12.17

Current Ratio

1.87

1.67

1.24

Equity/Assets

53.01

13.23

19.49

Abdulaziz A. S. Al Hosni Asim S. A. Al Ghilany Abdullah S. Al Harthy

0.072

OMR

Sector

Beta

CEO::Abdulaziz A. S. Al Hosni

0.076

Ratio Comparison: Company

Chairman: Hamoud S. S. Al Hosni

0.078

OMR 1.75 Million

Market Capitalization:

0.070

Auditors: Moore Stephens

0.068

Email: info@nscoman.com

0.066

WebSite: http://www.nscoman.com

14,000 12,000 10,000 8,000 6,000 4,000 2,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 400

OMR '000

200

0

-200

-400

Q4/2011

Q3/2011

Q2/2011

Revenues

Q1/2011

Q4/2010

Q3/2010

Gross Profit

Q2/2010

Q1/2010

Net Profit

Yearly Financial Data

Total Assets 5,000

2011

2010

Change %

240

444

-45.95

162

165

-1.82

-376

-195

N/M

OMR '000

Income Data (OMR '000) 4,000

Revenues

3,000

Gross Profit

2,000

Gen Admin Expenses Net Profit

1,000

Balance Sheet Data (OMR '000) 0

9

61

-85.25

571

669

-14.65

Current Assets

2,407

2,981

-19.26

Current Liabilities

1,289

1,464

-11.95

Working Capital

1,118

1,517

-26.30

Total Assets

2,871

3,440

-16.54

2,000

Total Liabilities

1,349

1,521

-11.31

1,500

Capital

2,500

2,500

0.00

1,000

General Reserves 1,522

1,919

-20.69

2011

2010

2009

2008

2007

Cash Account Receivable

Total Liabilities

Owners Equity

OMR '000

Yearly Income Data

500

Owners Equity

0

Cash Flow Data (OMR '000)

-500

Cash Flow From Operating Activities

-1,000 -1,500

2011

2010

2009

2008

2007

-110

-135

N/M

From Investing Activities

438

4

10,850.00

From Financing Activities

-378

99

N/M

-51

-33

N/M

-110

N/M

Increase (Decrease) in Cash Revenues Gross Profit Net Profit

Net Cash Flow

-305


Oman & Emirates Investment Holding Co.|Banking & Investment Last Closing:

OMR

0.12 (02/07/2012)

Activities

52-Week High:

OMR

0.16 (18/04/2012)

The company is engaged in investing in various fields in Oman and the United Arab Emirates.

52-Week Low:

OMR

0.09 (24/11/2011)

Price Performance: Company

1-Day

Sector

Market

-1.67%

-0.84%

-0.70% -0.73% -2.31%

-7.82%

-1.05%

1-Month

-12.60%

-5.71%

3-Month

-11.95%

-8.40%

-2.69%

1-Year

22.91%

-2.35%

-4.98%

5-Year

-46.17%

-24.72%

-10.91%

1-Week

OMR 12.19 Million

Paid Up Capital:

Daily Market Performance

121.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

19

56

547

0.48%

0.21%

0.01%

Board Members:

0.136

Sector

Market

1.83

1.37

1.00

-38.06

10.62

11.60

P/B

0.94

1.19

1.51

P/R

3.96

3.16

1.43

D/Y

12.71

4.14

4.77

ROA

-0.68

1.49

2.56

ROE

-2.48

11.25

13.15

-10.37

29.71

12.17

P/E

Net Margin Current Ratio

1.69

1.67

1.24

Equity/Assets

27.42

13.23

19.49

Omar S. Al Dhahab Humoud A. Al Alawi Hameed A. O. Butti Mohammad J. H. Al Marar Mohammad S. Al Qamzi Saif K. Sabt Mudrik K. Al Mousawi

0.132

OMR

Company

CEO::Awad M. Bamkhalef

0.140

Ratio Comparison: Beta

Chairman: Hilal H. A. Al Hosni

0.144

OMR 14.63 Million

Market Capitalization:

0.128 0.124

Auditors: PricewaterhouseCoopers

0.120

Email: info@omanemirates.com

1,600,000 1,400,000 1,200,000 1,000,000 800,000 600,000 400,000 200,000 0

WebSite: http://www.omanemirates.com

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 4,000 3,000

OMR '000

Abu Dhabi Investment Co.

30.00%

2,000 1,000 0 -1,000 -2,000 -3,000

Q1/2012

Others

Q4/2011

70.00%

Q3/2011

Revenues

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

1,290

-1,135

N/M

268

362

-25.97

36

-2,504

N/M

Cash

1,107

2,035

-45.60

Account Receivable

4,042

2,734

47.84

Current Assets

21,253

24,281

-12.47

Current Liabilities

12,553

12,792

-1.87 -24.28

100,000

OMR '000

Income Data (OMR '000) 80,000

Revenues

60,000

Gross Profit

40,000

Gen Admin Expenses Net Profit

20,000

Balance Sheet Data (OMR '000) 0

2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Working Capital

8,700

11,489

Total Assets

55,533

61,279

-9.38

30,000

Total Liabilities

36,753

41,825

-12.13

20,000

Capital

12,188

12,188

0.00

10,000

Reserves

5,627

5,462

3.02

15,228

15,522

-1.89

OMR '000

Yearly Income Data

Owners Equity

0

Cash Flow Data (OMR '000)

-10,000

Cash Flow From Operating Activities

-20,000 -30,000

2011

2010

2009

2008

2007

-2,488

-6,137

N/M

From Investing Activities

3,036

4,507

-32.64

From Financing Activities

-638

2,140

N/M

-90

510

N/M

-258

-536

N/M

Increase (Decrease) in Cash Revenues Gross Profit Net Profit

Net Cash Flow


Oman Holding International Co.|Banking & Investment Last Closing:

OMR

0.23 (02/07/2012)

Activities

52-Week High:

OMR

0.27 (18/04/2012)

Investing in oil, gas, petrochemicals, telecommunication, power, in addition to industrial and other commercial sectors.

52-Week Low:

OMR

0.18 (09/08/2011)

Price Performance: Company

Sector

Market

0.00%

-0.84%

-0.70%

1-Week

-5.86%

-1.05%

-0.73%

1-Month

-6.25%

-5.71%

-2.31%

3-Month

-1.75%

-8.40%

-2.69%

1-Year

1.80%

-2.35%

-4.98%

5-Year

-20.81%

-24.72%

-10.91%

1-Day

OMR 11.00 Million

Paid Up Capital:

Daily Market Performance

110.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

16

43

482

0.83%

0.36%

0.01%

Board Members:

0.245

Market

0.81

1.37

1.00

P/E

4.06

10.62

11.60

P/B

0.46

1.19

1.51

P/R

0.22

3.16

1.43

D/Y

6.67

4.14

4.77

ROA

4.65

1.49

2.56

ROE

11.37

11.25

13.15

5.30

29.71

12.17

Net Margin Current Ratio

1.32

1.67

1.24

Equity/Assets

40.88

13.23

19.49

Ammar M. Hameed Behram Divecha Hasan I. Naseeb Eihab M. H. Al Saleh

0.240

OMR

Sector

Beta

CEO::Behram Divecha

0.250

Ratio Comparison: Company

Chairman: Maqbool H. M. Al Saleh

0.255

OMR 25.30 Million

Market Capitalization:

0.235

Auditors: PricewaterhouseCoopers

0.230

Email: ho@ohigroup.com

0.225

WebSite: www.ohigroup.com

240,000 200,000 160,000 120,000 80,000 40,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 40,000 35,000

OMR '000

30,000 25,000 20,000 15,000 10,000 5,000 0 -5,000

Q4/2011

Q3/2011

Q2/2011

Revenues

OMR '000

140,000

Q3/2010

Gross Profit

Q2/2010

Q1/2010

Net Profit

2011

2010

Change %

114,919

128,867

-10.82

27,071

29,320

-7.67

3,334

3,342

-0.24

6,089

7,492

-18.73

Income Data (OMR '000)

120,000

Revenues

100,000 80,000

Gross Profit

60,000

Gen Admin Expenses

40,000

Net Profit

20,000

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

9,856

11,987

-17.78

Account Receivable

44,805

45,780

-2.13

Current Assets

72,626

74,174

-2.09

Current Liabilities

55,002

59,594

-7.71

Working Capital

Yearly Income Data

OMR '000

Q4/2010

Yearly Financial Data

Total Assets

0

Q1/2011

Total Assets

17,624

14,580

20.88

130,965

132,973

-1.51

140,000

Total Liabilities

72,672

79,766

-8.89

120,000

Capital

11,000

11,000

0.00

100,000

General Reserves

626

626

0.00

53,544

48,855

9.60

80,000

Owners Equity

60,000

Cash Flow Data (OMR '000)

40,000

Cash Flow From Operating Activities

20,000 0

2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

4,662

12,853

-63.73

From Investing Activities

-2,957

-2,424

N/M

From Financing Activities

-4,412

-2,382

N/M

Increase (Decrease) in Cash

-2,707

8,048

N/M

17,204

-18.93

Net Cash Flow

13,947


Oman Investment & Finance Co.|Banking & Investment Last Closing:

OMR

0.17 (02/07/2012)

Activities

52-Week High:

OMR

0.20 (10/04/2012)

52-Week Low:

OMR

0.12 (09/08/2011)

<align=justify> Billing of Electricity, Water and Telephone charges and subsequent collection on behalf of Oman Telecommunication Co.

Price Performance: Company

Sector

Market

0.00%

-0.84%

-0.70%

1-Week

-1.17%

-1.05%

-0.73%

1-Month

-9.00%

-5.71%

-2.31%

3-Month

-12.65%

-8.40%

-2.69%

1-Year

6.64%

-2.35%

-4.98%

5-Year

100.00%

-24.72%

-10.91%

1-Day

OMR 14.00 Million

Paid Up Capital:

Daily Market Performance

140.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

17

46

490

0.79%

0.34%

0.01%

0.192 Board Members:

0.188

Ratio Comparison: Sector

Market

Beta

1.54

1.37

1.00

P/E

6.83

10.62

11.60

P/B

1.27

1.19

1.51

P/R

2.13

3.16

1.43

D/Y

0.00

4.14

4.77

ROA

5.63

1.49

2.56

ROE

18.65

11.25

13.15

Net Margin

12.17

31.19

29.71

Current Ratio

1.09

1.67

1.24

Equity/Assets

30.16

13.23

19.49

Salah H. N. Al Mawaly Mohammad A. Kilmoor Mishaal M. A. Al Raesi Qaboos A. Al Khonji Deepak Atal

0.184

OMR

Company

Chairman: Zaki H. I. Al Naseeb

0.196

OMR 23.80 Million

Market Capitalization:

0.180 0.176

Auditors: Ernst & Young

0.172

Email: oifcho@omantel.net.com WebSite: www.oifcoman.com

1,200,000 1,000,000 800,000 600,000 400,000 200,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

OMR '000

Quarterly Income Data

Al Khonji Investments Co.

10.00%

Others

90.00%

6,000 5,800 5,600 5,400 5,200 5,000 4,800 4,600 4,400 4,200 4,000 3,800 3,600 3,400 3,200 3,000 2,800 2,600 2,400 2,200 2,000 1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q4/2011

Q3/2011

Q2/2011

Revenues

OMR '000

70,000

Q4/2010

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

2011

2010

Change %

11,177

18,053

-38.09

4,058

3,357

20.88

2,808

24.15

Income Data (OMR '000)

60,000 50,000

Revenues

40,000

Gross Profit

30,000

Gen Admin Expenses

20,000

Net Profit

10,000

3,486

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

1,521

4,404

-65.46

Account Receivable

33,794

25,151

34.36

Current Assets

37,866

33,753

12.19

Current Liabilities

34,896

22,031

58.39

Working Capital

2,970

11,722

-74.66

Total Assets

61,956

40,770

51.96

35,000

Total Liabilities

43,269

22,395

93.21

30,000

Capital

12,000

12,000

0.00

25,000

General Reserves 18,687

18,375

1.70

Yearly Income Data

OMR '000

Q1/2011

Yearly Financial Data

Total Assets

0

7/1

20,000

Owners Equity

15,000

Cash Flow Data (OMR '000)

10,000

Cash Flow From Operating Activities

5,000 0

2011

2010

2009

2008

2007

1,704

6,462

-73.63

From Investing Activities

-17,507

-3,922

N/M

From Financing Activities

9,244

-845

N/M

-6,559

1,694

N/M

4,115

-7.27

Increase (Decrease) in Cash Revenues Gross Profit Net Profit

Net Cash Flow

3,816


Oman National Inv. Corp. Holding|Banking & Investment Last Closing:

OMR

0.23 (02/07/2012)

Activities

52-Week High:

OMR

0.32 (22/04/2012)

52-Week Low:

OMR

0.14 (29/11/2011)

The company is engaged primarily through its subsidiaries in insurance, warranty services, capital market operations, and investments in holding companies.

Price Performance: Company

1-Day 1-Week

Sector

Market

-0.43%

-0.84%

-0.70%

0.00%

-1.05%

-0.73% -2.31%

1-Month

-14.08%

-5.71%

3-Month

-10.77%

-8.40%

-2.69%

1-Year

0.43%

-2.35%

-4.98%

5-Year

-54.10%

-24.72%

-10.91%

OMR 17.34 Million

Paid Up Capital:

Daily Market Performance

173.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Abdulrazaq M. A. Al Jasim

0.28

OMR 39.89 Million

Market Capitalization:

Market

GCC

11

29

403

1.34%

0.58%

0.01%

CEO::Rawan A. Al Said

0.27

Board Members:

Fareed Lutfi Joo C. Goh Srinivasan Sridharan Ercument C. Alanya

0.26

Ratio Comparison: Sector

Market

2.14

1.37

1.00

P/E

13.49

10.62

11.60

P/B

0.80

1.19

1.51

P/R

1.13

3.16

1.43

D/Y

10.26

4.14

4.77

ROA

2.97

1.49

2.56

ROE

5.95

11.25

13.15

Net Margin

8.39

29.71

12.17

Current Ratio

4.92

1.67

1.24

Equity/Assets

49.87

13.23

19.49

OMR

Company

Beta

0.25

Auditors: Deloitte & Touche

0.24

Email: contactus@onicorp.com.om

0.23

WebSite: www.onicholding.com

1,600,000 1,400,000 1,200,000 1,000,000 800,000 600,000 400,000 200,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 12,000

OMR '000

10,000 8,000 6,000 4,000 2,000 0 -2,000

Q1/2012

Q4/2011

Q3/2011

Gross Premiums

180,000

OMR '000

Q3/2010

Underwriting Profit

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

Change %

11,137

7,717

44.32

1,088

816

33.33

893

798

11.90

1,018

-433

N/M

Income Data (OMR '000)

160,000 140,000

Gross Premiums

120,000

Underwriting Profit

100,000 80,000

Gen Admin Expenses

60,000

Net Profit

40,000

Balance Sheet Data (OMR '000)

20,000 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

514

138

272.46

Account Receivable

12,636

11,347

11.36

Current Assets

54,752

49,752

10.05

Current Liabilities

11,134

7,259

53.38 2.65

Working Capital

Yearly Income Data

OMR '000

Q1/2011

3-Month Financial Data

Total Assets

0

Q2/2011

Total Assets

43,618

42,493

100,288

97,735

2.61

60,000

Total Liabilities

49,994

45,430

10.05

40,000

Capital

17,342

17,342

0.00

20,000

Reserves

8,912

8,490

4.97

50,011

47,952

4.29

Owners Equity

0

Cash Flow Data (OMR '000)

-20,000

Cash Flow From Operating Activities

-40,000 -60,000

2011

2010

2009

2008

2007

-1,899

-1,076

N/M

From Investing Activities

1,245

-108

N/M

From Financing Activities

-92

-750

N/M

-746

-1,934

N/M

1,012

971

4.22

Increase (Decrease) in Cash Gross Premiums Underwriting Profit

Net Profit

Net Cash Flow


Oman International Dev. & Inv. Co.|Banking & Investment Last Closing:

OMR

0.37 (02/07/2012)

Activities

52-Week High:

OMR

0.45 (05/09/2011)

Investing funds in all types of business both locally and internationally.

52-Week Low:

OMR

0.34 (11/08/2011)

Price Performance: Company

1-Day

Sector

Market

-0.80%

-0.84%

-0.70% -0.73%

-1.85%

-1.05%

1-Month

-12.27%

-5.71%

-2.31%

3-Month

-2.11%

-8.40%

-2.69%

1-Year

-12.00%

-2.35%

-4.98%

5-Year

34.92%

-24.72%

-10.91%

1-Week

OMR 27.83 Million

Paid Up Capital:

Daily Market Performance

278.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

8

17

259

3.46%

1.50%

0.04%

0.42 Board Members:

0.41

Ratio Comparison: Sector

Market

1.30

1.37

1.00

10.22

10.62

11.60

P/B

1.04

1.19

1.51

P/R

1.80

3.15

1.43

D/Y

2.45

4.14

4.77

ROA

0.86

1.49

2.56

ROE

10.20

11.25

13.15

Net Margin

17.68

29.71

12.17

Loan/Deposit

93.72

97.33

97.33

Equity/Assets

8.45

13.23

19.49

P/E

Abdulqadir A. Askalan Majid S. S. Al Araimi Abdullah S. A. Al Balushi Jamal S. Al Hooti Khalil A. Al Khonji Saif S. Al Yazidi Ziad M. Al Zubair Imad K. A. Sultan

0.40

OMR

Company

Beta

Chairman: Khalid M. Al Zubair

0.43

OMR 102.97 Million

Market Capitalization:

0.39 0.38 0.37

Auditors: Ernst & Young Email: info@ominvest.net

1,400,000 1,200,000 1,000,000 800,000 600,000 400,000 200,000 0

WebSite: www.ominvest.net

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 18,000 16,000 14,000

Al Hilal Investment Co.

OMR '000

20.20%

Civil Service Employees Pension Fund

12.81%

12,000 10,000 8,000 6,000 4,000 2,000 0

Q1/2012

Q4/2011

Q3/2011

Others

66.99%

Total Operating Income

Q2/2011

Q1/2011

Total Operating Expenses

Q4/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 1,200,000

31/03/2012

31/03/2011

Change %

OMR '000

Income Data (OMR '000) 1,000,000

Total Operating Income

800,000 600,000 400,000

12,774

30.57

7,893

6,830

15.56

Net Profit

4,002

2,480

61.37

Balance Sheet Data (OMR '000)

200,000 0

16,679

Gen Admin Expenses

Cash & Balance 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

40,521

75,758

-46.51

866,157

668,121

29.64

Investments

61,213

54,785

11.73

Total Assets

1,176,954

975,227

20.69

924,204

753,802

22.61

Loans

Deposits Total Liabilities

995,367

812,219

22.55

Capital

27,830

25,300

10.00

60,000

Reserves

48,029

42,178

13.87

50,000

Owners Equity

99,427

92,340

7.67

-22,253

-24,914

N/M

-3,340

-1,734

N/M

-25,593

-26,648

N/M

8,711

4,932

76.62

OMR '000

Yearly Income Data

Cash Flow Data (OMR '000)

40,000

Cash Flow From Operating Activities

30,000

From Investing Activities

20,000

From Financing Activities

10,000 0

Increase (Decrease) in Cash 2011

2010

Total Operating Income

2009

Total Operating Expenses

2008

2007

Net Profit

Net Cash Flow


The Financial Corporation Co.|Banking & Investment Last Closing:

OMR

1.25 (02/07/2012)

Activities

52-Week High:

OMR

1.25 (13/07/2011)

52-Week Low:

OMR

1.25 (21/08/2011)

The company is engaged in investment banking services including corporate finance, financial advisory, fund management, brokerage and corporate research.

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.84%

-0.70%

-1.05%

-0.73%

1-Week

0.00%

1-Month

0.00%

-5.71%

-2.31%

3-Month

0.00%

-8.40%

-2.69%

1-Year

0.00%

-2.35%

-4.98%

5-Year

7.96%

-24.72%

-10.91%

OMR 7.00 Million

Paid Up Capital:

Daily Market Performance

7.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

22

71

593

0.29%

0.13%

0.00%

Sector

1.6

1.37

1.00

P/E

-36.76

10.62

11.60

P/B

1.21

1.19

1.51

P/R

7.60

3.15

1.43

D/Y

0.00

4.14

4.77

ROA

-2.87

1.49

2.56

-3.28

11.25

13.15

-20.66

29.71

12.17

ROE Net Margin Current Ratio

3.92

1.67

1.24

Equity/Assets

87.59

13.23

19.49

Awadh M. F. Bamkhalef Mohammad N. Mohammad Mohammed D. Al Khory Mohammed A. Al Khonji

1.4

Market

0.00

Managing Director :Munir A. Y. Makki Board Members:

OMR

Company

CEO::A.J.V. Jayachander

1.8

Ratio Comparison: Beta

Chairman: Mohamed R. Al Araimi

2.0

OMR 8.75 Million

Market Capitalization:

1.2

Auditors: Deloitte & Touche

1

Email: fincorp@fincorp.org

0.8

WebSite: www.fincorp.org

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 600

OMR '000

400

200

0

-200

-400

-600

Q4/2011

Q3/2011

Q2/2011

Revenues

18,000

OMR '000

Q3/2010

Gross Profit

Q2/2010

Q1/2010

Net Profit

2011

2010

Change %

1,152

1,173

-1.79

1,215

1,411

-13.89

-238

-555

N/M

27.26

Income Data (OMR '000)

16,000 14,000

Revenues

12,000

Gross Profit

10,000 8,000

Gen Admin Expenses

6,000

Net Profit

4,000

Balance Sheet Data (OMR '000)

2,000 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

705

554

Account Receivable

1,267

834

51.92

Current Assets

3,804

5,380

-29.29

Current Liabilities

971

2,182

-55.50

Working Capital

2,833

3,198

-11.41

Total Assets

8,293

9,739

-14.85

4,000

Total Liabilities

1,028

2,266

-54.63

3,000

Capital

7,003

7,003

0.00

2,000

General Reserves 7,264

7,472

-2.78

Yearly Income Data

OMR '000

Q4/2010

Yearly Financial Data

Total Assets

0

Q1/2011

1,000

Owners Equity

0

Cash Flow Data (OMR '000)

-1,000

Cash Flow From Operating Activities

-2,000 -3,000

2011

2010

2009

2008

2007

-646

-299

N/M

From Investing Activities

1,798

-1,349

N/M

From Financing Activities

-1,000

-1,330

N/M

151

-2,979

N/M

-172

-320

N/M

Increase (Decrease) in Cash Revenues Gross Profit Net Profit

Net Cash Flow


Transgulf Industrial Inv. Holding Co.|Banking & Investment Last Closing:

OMR

0.08 (02/07/2012)

Activities

52-Week High:

OMR

0.10 (04/04/2012)

To participate in the industrial, commercial, agricultural and tourism sectors projects in Oman and other GCC countries.

52-Week Low:

OMR

0.05 (21/11/2011)

Price Performance: Company

1-Day

Sector

Market

2.59%

-0.84%

-0.70% -0.73% -2.31%

3.94%

-1.05%

1-Month

-12.23%

-5.71%

3-Month

-17.71%

-8.40%

-2.69%

1-Year

17.91%

-2.35%

-4.98%

5-Year

-34.61%

-24.72%

-10.91%

1-Week

OMR 6.69 Million

Paid Up Capital:

Daily Market Performance

66.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Mohammad A. Al Barwani

0.096

OMR 5.35 Million

Market Capitalization:

Market

GCC

25

79

612

0.18%

0.08%

0.00%

0.092

Board Members:

0.084

Salim A. Al Awadi Khamis M. Al Kayoumi Saeed M. Al Braiki Hamad K. Al Amri Mohammad A. Al Naqi Abdullah A. Abdullah

0.080

Auditors: KPMG

0.088

Ratio Comparison: Sector

Market

1.47

1.37

1.00

P/E

11.97

10.62

11.60

P/B

0.61

1.19

1.51

P/R

17.95

3.15

1.43

D/Y

0.00

4.14

4.77

ROA

3.64

1.49

2.56

ROE

5.15

11.25

13.15 12.17

Net Margin

150.17

29.71

Current Ratio

3.16

1.67

1.24

Equity/Assets

70.65

13.23

19.49

OMR

Company

Beta

Email: transgulf@omantel.net.om WebSite: www.transgulf-oman.com

1,200,000 1,000,000 800,000 600,000 400,000 200,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 800

OMR '000

600

400

200

0

-200

-400

Q4/2011

Q3/2011

Q2/2011

Revenues

OMR '000

14,000

Q3/2010

Gross Profit

Q2/2010

Q1/2010

Net Profit

2011

2010

Change %

295

235

25.53

165

147

12.24

565

-21.59

Income Data (OMR '000)

12,000

Revenues

10,000 8,000

Gross Profit

6,000

Gen Admin Expenses

4,000

Net Profit

2,000

443

Balance Sheet Data (OMR '000) 2011

2010

2009

2008

2007

Cash

33

34

-2.94

376

301

24.92

Current Assets

8,642

6,089

41.93

Current Liabilities

2,736

231

1,084.42

Account Receivable Total Liabilities

Owners Equity

Working Capital

Yearly Income Data

OMR '000

Q4/2010

Yearly Financial Data

Total Assets

0

Q1/2011

Total Assets

5,906

5,858

0.82

12,172

9,620

26.53

4,000

Total Liabilities

3,566

1,457

144.75

3,000

Capital

6,688

6,688

0.00

2,000

General Reserves 8,600

8,157

5.43

1,000

Owners Equity

0

Cash Flow Data (OMR '000)

-1,000

Cash Flow From Operating Activities

-2,000 -3,000

2011

2010

2009

2008

2007

-252

-403

N/M

From Investing Activities

716

534

34.08

From Financing Activities

-400

-400

N/M

64

-269

N/M

Increase (Decrease) in Cash Revenues Gross Profit Net Profit

Net Cash Flow


United Finance Co.|Banking & Investment Last Closing:

OMR

0.14 (02/07/2012)

Activities

52-Week High:

OMR

0.14 (12/03/2012)

Hire-purchase, Leasing and Debt Factoring services.

52-Week Low:

OMR

0.08 (20/07/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.84%

-0.70%

-1.05%

-0.73%

1-Week

3.05%

1-Month

3.05%

-5.71%

-2.31%

3-Month

15.38%

-8.40%

-2.69%

1-Year

75.32%

-2.35%

-4.98%

5-Year

28.93%

-24.72%

-10.91%

OMR 25.00 Million

Paid Up Capital:

Daily Market Performance

250.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

12

36

434

1.13%

0.49%

0.01%

Board Members:

0.132

Sector

Market

1.11

1.37

1.00

11.07

10.62

11.60

P/B

1.02

1.19

1.51

P/R

4.37

3.15

1.43

D/Y

7.41

4.14

4.77

ROA

3.29

1.49

2.56

ROE

9.23

11.25

13.15 12.17

P/E

Net Margin

39.36

29.71

Current Ratio

1.83

1.67

1.24

Equity/Assets

35.67

13.23

19.49

Fayez M. M. Hasan Ehab M. H. Al Saleh Ranga Gorur Ahmad M. Mansour Hussam H. O. Bostami Hussam H. O. Bostami

0.130

OMR

Company

CEO::Mansoor M. Al Amri

0.134

Ratio Comparison: Beta

Chairman: Salem A. Al Hajri

0.136

OMR 35.00 Million

Market Capitalization:

0.128 0.126

Auditors: PricewaterhouseCoopers

0.124

Email: ufc@ufcoman.com WebSite: www.ufcoman.com

450,000 400,000 350,000 300,000 250,000 200,000 150,000 100,000 50,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 2,400 2,200

12.39%

2,000

Global First Financials Services Co.

OMR '000

First National Co.

11.32% Sulaiman A. S. Al Hoqani

Oman Hotels & Tourism Co.

11.14%

23.27%

1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Others

Revenues

41.87%

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2011

Revenues

1,853

1,727

7.30

Gross Profit

1,346

1,163

15.74

Gen Admin Expenses

790

575

37.39

Net Profit

603

406

48.52

Change %

Income Data (OMR '000)

160,000

OMR '000

Q1/2011

31/03/2012

180,000

140,000 120,000 100,000 80,000 60,000 40,000

Balance Sheet Data (OMR '000)

20,000

4,127

1,068

286.42

Account Receivable

83,776

70,282

19.20

Current Assets

88,083

71,537

23.13

Current Liabilities

48,069

36,487

31.74

Working Capital

40,014

35,050

14.16

Total Assets

92,543

76,864

20.40

16,000

Total Liabilities

59,536

44,402

34.08

14,000

Capital

25,001

25,001

0.00

4,902

4,577

7.10

33,007

32,462

1.68

2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

12,000

OMR '000

Q2/2011

3-Month Financial Data

Total Assets

0

Q3/2011

Cash

Reserves

10,000

Owners Equity

8,000

Cash Flow Data (OMR '000)

6,000 4,000

Cash Flow From Operating Activities

859

4,888

-82.43

2,000

From Investing Activities

386

-33

N/M

From Financing Activities

27

-5,649

N/M

1,273

-795

N/M

836

3.83

0

2011

2010

2009

2008

2007

Increase (Decrease) in Cash Revenues Gross Profit Net Profit

Net Cash Flow

868


Taageer Finance|Banking & Investment Last Closing:

OMR

0.12 (02/07/2012)

Activities

52-Week High:

OMR

0.15 (25/03/2012)

The company is engaged in providing all types of financing services.

52-Week Low:

OMR

0.10 (13/07/2011)

Price Performance: Company

Sector

Market

0.00%

-0.84%

-0.70%

1-Week

0.00%

-1.05%

-0.73%

1-Month

-7.09%

-5.71%

-2.31%

3-Month

-13.24%

-8.40%

-2.69%

1-Year

15.34%

-2.35%

-4.98%

5-Year

22.78%

-24.72%

-10.91%

1-Day

OMR 21.67 Million

Paid Up Capital:

Daily Market Performance

216.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Mehdi M. J. Al Abduwani

0.130

OMR 26.00 Million

Market Capitalization:

Market

GCC

15

42

478

0.85%

0.37%

0.01%

CEO::Mohammed A. Al Kharusi (Act. CEO)

0.128

Board Members:

Col. Saif S. S. Al Harthi Saleh N. Al Riyami Ali Ziraknejad Qaboos A. Al Khonji Reji Joseph Shabir M. A. Al Yousef

0.126

Ratio Comparison: Sector

Market

0.04

1.37

1.00

P/E

7.24

10.62

11.60

P/B

0.97

1.19

1.51

P/R

2.58

3.15

1.43

D/Y

6.53

4.14

4.77

ROA

4.05

1.49

2.56

ROE

13.43

11.25

13.15

Net Margin

12.17

35.66

29.71

Current Ratio

0.03

1.67

1.24

Equity/Assets

30.17

13.23

19.49

OMR

Company

Beta

0.124 0.122

Auditors: Deloitte & Touche

0.120

Email: info@taageer.com.om WebSite: http://www.taageer.com

100,000 80,000 60,000 40,000 20,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 2,800 2,600

19.69%

2,400

Iranian Overseas Investment Co.

2,200

OMR '000

Arabian Investment Co.

13.13% Al Madina Finance & Investment Co.

12.00%

2,000 1,800 1,600 1,400 1,200 1,000 800 600

Al Anwar Holding Co.

400

21.28%

200 0

Q1/2012

Q4/2011

Q3/2011

Q2/2011

Q1/2011

Q3/2010

Q2/2010

Q1/2010

Others

33.89%

Revenues

Gross Profit

Net Profit

3-Month Financial Data

Total Assets 100,000

31/03/2012

31/03/2011

Change %

OMR '000

Income Data (OMR '000) 80,000

Revenues

2,503

2,333

7.29

60,000

Gross Profit

1,989

1,686

17.97

40,000

Gen Admin Expenses

589

552

6.70

966

647

49.30

Cash

905

1,573

-42.47

Account Receivable

317

254

24.80

1,272

1,877

-32.23

44,508

42,888

3.78

Net Profit

20,000

Balance Sheet Data (OMR '000) 0

2011

2010

2009

Total Liabilities

2008

2007

Current Assets

Owners Equity

Current Liabilities Working Capital

Yearly Income Data 10,000

OMR '000

8,000

-43,236

-41,011

N/M

Total Assets

87,258

83,741

4.20

Total Liabilities

60,928

63,279

-3.72

Capital

21,667

12,667

71.05

Reserves 6,000

2,783

27.16

20,462

28.68

Cash Flow From Operating Activities

848

-1,312

N/M

From Investing Activities

840

-9

N/M

From Financing Activities

-349

-619

N/M

491

-1,940

N/M

1,786

7.39

Cash Flow Data (OMR '000)

4,000 2,000 0

3,539 26,330

Owners Equity

2011

2010

2009

2008

2007

Increase (Decrease) in Cash Revenues Gross Profit Net Profit

Net Cash Flow

1,918


Bank Nizwa|Banking & Investment Last Closing:

OMR

0.10 (02/07/2012)

Activities

52-Week High:

OMR

0.12 (10/06/2012)

Bank Nizwa (BKNZ) is engaged in providing Sharia compliant banking services.

52-Week Low:

OMR

0.10 (24/06/2012)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.84%

-0.70%

-1.05%

-0.73%

1-Week

1.96%

1-Month

0.00%

-5.71%

-2.31%

3-Month

0.00%

-8.40%

-2.69%

1-Year

0.00%

-2.35%

-4.98%

5-Year

0.00%

-24.72%

-10.91%

OMR 150.00 Million

Paid Up Capital:

Market Capitalization:

Daily Market Performance

1500.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Ahmed S. Al Rawahi

0.112

OMR 150.00 Million Market

GCC

5

10

199

5.21%

2.26%

0.06%

CEO::Dr. Jamil El Jaroudi

0.110

Board Members:

Amer H. Al Sulaimani Rashida Al Khaify Dr. Ashraf N. Al Nabhani Dr. Adil A. Al Kindy

0.108

Ratio Comparison: Sector

Market

0.00

1.37

1.00

P/E

0.00

10.62

11.60

P/B

0.00

1.19

1.51

P/R

0.00

3.15

1.43

D/Y

0.00

4.14

4.77

ROA

0.00

1.49

2.56

ROE

0.00

11.25

13.15

-

29.71

12.17

Net Margin Current Ratio

-

1.67

Equity/Assets

-

13.23

OMR

Company

Beta

0.106

Auditors: KPMG

0.104

Email: jjaroudi@banknizwa.om

0.102

WebSite: www.banknizwa.om

100,000,000 80,000,000 60,000,000 1.24 40,000,000 20,000,000 19.49 0 6/3

6/8

6/13

6/18

6/23

6/28

Shareholders

Royal Office Employees Pension Fund

8.33% Saud A. A. Al Khalili

6.67%

Others

85.00%

Change %


Al Ahlia Converting Industries Co.|Industrial Last Closing:

OMR

0.04 (02/07/2012)

Activities

52-Week High:

OMR

0.10 (13/07/2011)

Manufacturing, marketing of tissue papers and related products, in addition to aluminum foil.

52-Week Low:

OMR

0.02 (18/04/2012)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

16.66%

2.81%

-2.69%

1-Year

-65.00%

0.82%

-4.98%

5-Year

41.12%

11.19%

-10.91%

OMR 1.00 Million

Paid Up Capital:

Daily Market Performance

10.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Tariq A. Sultan

0.055

OMR 0.40 Million

Market Capitalization:

Market

GCC

45

112

650

0.00%

0.01%

0.00%

0.050

Managing Director :Mohammad A. Al Lawati Board Members:

0.045

Rabab H. Al Lawati Hasan S. Al Abduwani Adel M. H. Taqi

0.040

Ratio Comparison: Sector

Market

-0.34

1.02

1.00

P/E

-3.10

10.26

11.60

P/B

-1.48

1.63

1.51

P/R

0.13

1.83

1.43

D/Y

0.00

5.05

4.77

ROA

-5.62

8.56

2.56

ROE

47.88

15.86

13.15

Net Margin

-4.13

18.04

12.17

Current Ratio

0.85

1.35

1.24

Equity/Assets

-11.73

53.97

19.49

Debt/Equity

-33.05

34.68

62.99

OMR

Company

Beta

0.035 0.030

Auditors: Moore Stephens

0.025

Email: alahliac@omantel.net.om

0.020

WebSite:

1,000 800 600 400 200 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 800

OMR '000

600

400

200

0

-200

Q4/2011

Q3/2011

Q2/2011

Sales

2,400

OMR '000

Q4/2010

Q3/2010

Gross Profit

Q2/2010

Q1/2010

Net Profit

Yearly Financial Data

Total Assets

2011

2010

Change %

Income Data (OMR '000)

2,000 1,600

Sales

2,739

2,292

19.50

1,200

Gross Profit

495

486

1.85

Gen Admin Expenses

218

204

6.86

2,244

1,806

24.25

-113

1

N/M

-45.45

800 400

Cost of Sales

0 (400) (800)

Net Profit 2011

2010

2009

2008

2007

Balance Sheet Data (OMR '000)

Cash Total Liabilities

Owners Equity

Yearly Income Data

6

11

Inventories

373

372

0.27

Account Receivable

992

851

16.57

Current Assets

1,387

1,233

12.49

Current Liabilities

1,633

1,106

47.65

-246

127

N/M

2,012

1,796

12.03

Total Liabilities

2,246

1,918

17.10

Capital

1,000

1,000

0.00

2,800

Working Capital

2,400

Total Assets

2,000

OMR '000

Q1/2011

1,600 1,200 800

General Reserves

400

Long Term Debts

0 -400

Owners Equity 2011

2010

2009

2008

2007

Gross Profit Net Profit

167

-53.29

-123

N/M

-29

-149

N/M

-144

-81

N/M -82.89

Cash Flow Data (OMR '000)

Cash Flow From Operating Activities Sales

78 -236

From Investing Activities From Financing Activities Increase (Decrease) in Cash Net Cash Flow

26

152

-147

-77

N/M

30

81

-62.96


Al Anwar Ceramic Tiles Co.|Industrial Last Closing:

OMR

0.37 (02/07/2012)

Activities

52-Week High:

OMR

0.38 (27/06/2012)

The company is engaged in manufacturing of glazed tiles and ceramic.

52-Week Low:

OMR

0.25 (11/08/2011)

Price Performance: Company

Sector

Market

0.00%

-0.39%

-0.70%

1-Week

0.27%

-0.54%

-0.73%

1-Month

-0.27%

-3.37%

-2.31%

3-Month

8.82%

2.81%

-2.69%

1-Year

38.73%

0.82%

-4.98%

5-Year

208.33%

11.19%

-10.91%

1-Day

OMR 20.44 Million

Paid Up Capital:

Daily Market Performance

204.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

4

21

307

0.44%

1.09%

0.03%

0.372 Board Members:

0.368

Ratio Comparison: Sector

Market

0.92

1.02

1.00

P/E

12.98

10.26

11.60

P/B

2.76

1.63

1.51

P/R

4.02

1.83

1.43

D/Y

3.86

5.05

4.77

ROA

17.09

8.56

2.56

ROE

21.25

15.86

13.15

Net Margin

30.95

18.04

12.17

Current Ratio

2.19

1.35

1.24

Equity/Assets

80.42

53.97

19.49

-

34.68

62.99

Debt/Equity

Sofyan S. Al Khatib Akshay Kothari Abdulqader Shamsuddin Saud A. S. Al Senaidi

0.364

OMR

Company

Beta

0.360

Auditors: Moore Stephens

0.356

Email: info@alshams.org

0.352

WebSite: www.alshams.org

1,000,000 800,000 600,000 400,000 200,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

OMR '000

34.76%

Damac Invest Co.

5.57%

7/1

6,000 5,800 5,600 5,400 5,200 5,000 4,800 4,600 4,400 4,200 4,000 3,800 3,600 3,400 3,200 3,000 2,800 2,600 2,400 2,200 2,000 1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Others

Q3/2011

Sales

59.67%

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 35,000

OMR '000

6/24

Quarterly Income Data

Al Jazira Services Co.

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

30,000 25,000

Sales

5,133

4,917

4.39

20,000

Gross Profit

2,553

2,566

-0.51

15,000

Gen Admin Expenses

468

438

6.85

10,000

Net Profit

1,596

1,519

5.07

98.16

5,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

971

490

Inventories

2,196

2,235

-1.74

Account Receivable

5,398

5,602

-3.64

13,215

13,110

0.80

Current Assets

Yearly Income Data

OMR '000

Chairman: Husein A. H. Sajwani

0.376

OMR 75.64 Million

Market Capitalization:

Current Liabilities

6,026

2,836

112.48

Working Capital

7,189

10,274

-30.03

34,079

28,067

21.42

6,674

3,489

91.29

20,443

19,469

5.00

2,952

2,454

20.29

27,405

24,578

11.50

20,000

Total Assets

16,000

Total Liabilities Capital

12,000

Reserves Long Term Debts

8,000

Owners Equity

4,000

Cash Flow Data (OMR '000) 0

2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Sales

Gross Profit Net Profit

390

374

4.28

-1,680

-355

N/M

-1,290

-875

From Financing Activities Increase (Decrease) in Cash Net Cash Flow

-894 N/M


Al Anwar Holding Co.|Industrial Last Closing:

OMR

0.11 (02/07/2012)

Activities

52-Week High:

OMR

0.16 (15/04/2012)

Investing in Industrial and Commercial projects.

52-Week Low:

OMR

0.08 (09/08/2011)

Price Performance: Company

Sector

Market

0.00%

-0.39%

-0.70%

1-Week

2.72%

-0.54%

-0.73%

1-Month

-1.74%

-3.37%

-2.31%

3-Month

-14.40%

2.81%

-2.69%

1-Year

5.60%

0.82%

-4.98%

5-Year

-21.48%

11.19%

-10.91%

1-Day

OMR 12.00 Million

Paid Up Capital:

Daily Market Performance

120.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

14

58

553

0.08%

0.20%

0.01%

Board Members:

0.120

Sector

Abdulredha Sultan Nawaf G. Al Merri Shaber M. A. Al Yousuf Mehdi M. J. Al Abdawani Qaboos A. Al Khonji

0.118

Market

1.86

1.02

1.00

P/E

26.28

10.26

11.60

P/B

0.75

1.63

1.51

P/R

0.92

1.83

1.43

D/Y

0.00

5.05

4.77

ROA

1.43

8.56

2.56

ROE

2.82

15.86

13.15

Net Margin

3.49

18.04

12.17

Current Ratio

1.39

1.35

1.24

Equity/Assets

50.81

53.97

19.49

Debt/Equity

24.08

34.68

62.99

OMR

Company

CEO::David Wilson

0.122

Ratio Comparison: Beta

Chairman: Masoud H. Al Harthy

0.124

OMR 13.20 Million

Market Capitalization:

0.116 0.114

Auditors: KPMG

0.112

Email: info@alanwarholdings.com WebSite: http://www.alanwarholdings.com

1,000,000 800,000 600,000 400,000 200,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 400

OMR '000

200

Fincorp Investment Co.

Financial Services Co.

25.02%

18.24%

Mohammad & Ahmad Al Khonji Co.

0 -200 -400

5.03%

-600 -800 -1,000

Q4/2011

Q3/2011

Others

Q4/2010

Q3/2010

Q2/2010

Q1/2010

Net Profit

Yearly Financial Data

Total Assets 40,000

OMR '000

Q1/2011

Gross Profit

51.71%

2011

2010

Change %

Income Data (OMR '000)

35,000 30,000

Gross Profit

3,165

1,511

109.46

25,000

Gen Admin Expenses

2,341

2,018

16.01

511

-1,201

N/M

4,128

5,296

-22.05

20,000

Net Profit

15,000

Balance Sheet Data (OMR '000)

10,000 5,000 0

Cash 2011

2010

2009

2008

2007

Inventories Account Receivable

Total Liabilities

Owners Equity

2,939 4,077

6,654

-38.73

Current Assets

14,739

20,416

-27.81

Current Liabilities

10,574

14,433

-26.74

Working Capital

4,165

5,983

-30.39

Total Assets

35,694

41,283

-13.54

6,000

Total Liabilities

15,000

19,879

-24.54

5,000

Capital

12,000

12,000

0.00

4,368

5,228

-16.45

18,137

17,607

3.01

Yearly Income Data

4,000

OMR '000

Q2/2011

General Reserves

3,000 2,000

Long Term Debts

1,000

Owners Equity Cash Flow Data (OMR '000)

0 -1,000 -2,000

Cash Flow From Operating Activities 2011

2010

2009

Gross Profit Net Profit

2008

2007

301

957

-68.55

From Investing Activities

-3,281

-314

N/M

From Financing Activities

2,649

-1,973

N/M

-331

-1,330

N/M

1,690

-43.43

Increase (Decrease) in Cash Net Cash Flow

956


Al Hassan Engineering Co.|Industrial Last Closing:

OMR

0.18 (02/07/2012)

Activities

52-Week High:

OMR

0.42 (03/07/2011)

Civil, Mechanical, Electrical, engineering design, and construction works.

52-Week Low:

OMR

0.17 (28/06/2012)

Price Performance: Company

1-Day

Sector

Market

-2.78%

-0.39%

-0.70% -0.73%

-3.85%

-0.54%

1-Month

-22.57%

-3.37%

-2.31%

3-Month

-34.22%

2.81%

-2.69%

1-Year

-58.54%

0.82%

-4.98%

5-Year

-59.31%

11.19%

-10.91%

1-Week

OMR 7.52 Million

Paid Up Capital:

Daily Market Performance

75.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

16

61

558

0.08%

0.19%

0.00%

Board Members:

0.22

Market

1.12

1.02

1.00

P/E

6.10

10.26

11.59

P/B

0.84

1.63

1.51

P/R

0.21

1.83

1.43

D/Y

8.57

5.05

4.77

ROA

3.70

8.56

2.56

ROE

13.82

15.86

13.15

3.37

18.04

12.17

Net Margin Current Ratio

1.20

1.35

1.24

Equity/Assets

26.76

53.97

19.49

Debt/Equity

12.34

34.68

62.99

Ali A. A. Ibrahim Saud A. Al Nahari Eng. Salim S. I. Al Ghatami Ali M. Jumaa

0.21

OMR

Sector

Beta

Managing Director :Maqbool A. Salman

0.23

Ratio Comparison: Company

Chairman: Hassan A. Salman

0.24

OMR 13.54 Million

Market Capitalization:

0.20

Auditors: Moore Stephens

0.19

Email: seccorp@al-hassan.com

0.18

WebSite: www.al-hassan.com

800,000 700,000 600,000 500,000 400,000 300,000 200,000 100,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 18,000 16,000 14,000

OMR '000

Maqbool A. Salman

20.07%

Al Hasan Electricity Co.

19.06% Hasan A. Salman

12,000 10,000 8,000 6,000

20.07%

4,000 2,000 0

Q1/2012

Q4/2011

Others

Q3/2011

Sales

40.80%

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 60,000

31/03/2012

31/03/2011

17,322

13,962

24.07

1,242

1,746

-28.87

793

859

-7.68

285

591

-51.78

-35.65

Change %

OMR '000

Income Data (OMR '000) 50,000

Sales

40,000

Gross Profit

30,000

Gen Admin Expenses

20,000

Net Profit

10,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

2008

2007

Cash

695

1,080

4,750

4,499

5.58

Account Receivable

15,283

17,195

-11.12

Current Assets

45,421

45,623

-0.44

Current Liabilities

37,857

35,932

5.36

7,564

9,691

-21.95

Inventories Total Liabilities

Owners Equity

OMR '000

Yearly Income Data

Working Capital

70,000

Total Assets

58,292

59,174

-1.49

60,000

Total Liabilities

42,693

44,528

-4.12

50,000

Capital

7,521

7,521

0.00

40,000

Reserves

1,839

1,668

10.25

30,000

Long Term Debts

20,000

Owners Equity

10,000 0

1,925

6,017

-68.01

15,599

14,646

6.51

-3,887

-2,320

N/M

-643

-893

N/M

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Sales

Gross Profit Net Profit

From Financing Activities

5,788

Increase (Decrease) in Cash

-4,530

2,575

N/M

Net Cash Flow

-3,326

-1,901

N/M


Al Jazeera Steel Products Co.|Industrial Last Closing:

OMR

0.28 (02/07/2012)

Activities

52-Week High:

OMR

0.30 (10/07/2011)

Manufacturing and selling of Pipes, Tubes and other related materials.

52-Week Low:

OMR

0.23 (23/11/2011)

Price Performance: Company

Sector

Market

-0.36%

-0.39%

-0.70%

1-Week

-0.36%

-0.54%

-0.73%

1-Month

-3.80%

-3.37%

-2.31%

3-Month

4.88%

2.81%

-2.69%

1-Year

-3.80%

0.82%

-4.98%

5-Year

-27.54%

11.19%

-10.91%

1-Day

OMR 12.49 Million

Paid Up Capital:

Daily Market Performance

124.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Suleiman M. S. Al-Rubaie

0.292

OMR 34.97 Million

Market Capitalization:

Market

GCC

9

34

428

0.20%

0.50%

0.01%

CEO::Dr.Bhaskar Dutta

0.288

Board Members:

Mukesh Sawhney Joseph Joseph Subrata Mitra Ghanim S. Al Ghunaiman

0.284

Ratio Comparison: Sector

Market

1.60

1.02

1.00

P/E

11.03

10.26

11.59

P/B

1.07

1.63

1.51

P/R

0.36

1.83

1.43

D/Y

3.23

5.05

4.77

ROA

3.96

8.56

2.56

ROE

9.72

15.86

13.15

Net Margin

3.29

18.04

12.17

Current Ratio

1.16

1.35

1.24

Equity/Assets

40.79

53.97

19.49

1.55

34.68

62.99

Debt/Equity

OMR

Company

Beta

0.280

Auditors: Deloitte & Touche

0.276

Email: contact@jazeerasteel.com

0.272

WebSite: http://www.jazeerasteel.com

500,000 450,000 400,000 350,000 300,000 250,000 200,000 150,000 100,000 50,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 28,000 24,000

Others

OMR '000

49.00%

20,000 16,000 12,000 8,000 4,000 0

Q1/2012

Q4/2011

Global Fund

Sales

51.00%

90,000

OMR '000

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

27,385

22,554

21.42

3,379

2,959

14.19

647

455

42.20

1,007

12.61

Change %

Income Data (OMR '000)

80,000 70,000

Sales

60,000

Gross Profit

50,000 40,000

Gen Admin Expenses

30,000

Net Profit

20,000

1,134

Balance Sheet Data (OMR '000)

10,000

1,932

3,116

-38.00

Inventories

21,236

19,204

10.58

Account Receivable

29,615

22,746

30.20

Current Assets

52,783

45,066

17.12

Current Liabilities

45,693

38,666

18.17

7,090

6,400

10.78

Total Assets

79,650

73,291

8.68

80,000

Total Liabilities

47,158

42,084

12.06

60,000

Capital

12,490

12,490

0.00

40,000

Reserves

1,967

1,652

19.07

2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

Long Term Debts

20,000

Owners Equity

0 -20,000

Cash

Working Capital

100,000

OMR '000

Q2/2011

3-Month Financial Data

Total Assets

0

Q3/2011

503

2,460

-79.55

32,492

31,207

4.12

-4,500

-1,895

N/M

-191

-77

N/M

4,975

3,370

47.63

283

1,398

-79.76

2,132

2,196

-2.91

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Sales

Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow


Areej Vegetable Oils & Derivatives Co.|Industrial Last Closing:

OMR

2.50 (02/07/2012)

Activities

52-Week High:

OMR

2.50 (13/07/2011)

Production, manufacturing and selling of refined vegetable oils, vegetable ghee, butter and margarines.

52-Week Low:

OMR

2.50 (18/12/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

0.00%

2.81%

-2.69%

1-Year

0.00%

0.82%

-4.98%

5-Year

19.06%

11.19%

-10.91%

OMR 4.60 Million

Paid Up Capital:

Daily Market Performance

4.00 Million

Outstanding Shares:

Sector

Share

Market

GCC

18

64

568

0.07%

0.17%

0.00%

Rank

3.6 Board Members:

3.2

Ratio Comparison: Sector

Market

Beta

0.03

1.02

1.00

P/E

7.28

10.26

11.59

P/B

1.38

1.63

1.51

P/R

0.12

1.83

1.43

D/Y

10.00

5.05

4.77

ROA

3.77

8.56

2.56

ROE

18.97

15.86

13.15

Net Margin

1.62

18.04

12.17

Current Ratio

0.96

1.35

1.24

Equity/Assets

19.85

53.97

19.49

Debt/Equity

33.96

34.68

62.99

Nasser K. Al Kilbani H. P. Kothary Prem Maker Jamal M. Ahmad Ibrahim M. Ashraf

2.8

OMR

Company

Chairman: Nasser M. N. Al Hadhrami

4.0

OMR 11.50 Million

Market Capitalization:

2.4

Auditors: Moore Stephens

2 1.6

Email: avod@omzest.com WebSite: www.omzest.com/areejoils.html

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 32,000

OMR '000

28,000

Omar A. Al Zawawi

24.98%

Mohsin H. Darwish Co.

30.50%

24,000 20,000 16,000 12,000 8,000 4,000 0

Q1/2012

Q4/2011

Others

Sales

44.52%

40,000

OMR '000

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

35,000 30,000

Sales

23,104

21,665

6.64

25,000

Gross Profit

1,857

1,580

17.53

15,000

Gen Admin Expenses

1,259

1,072

17.44

10,000

Net Profit

440

361

21.88

20,000

5,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data 100,000 80,000

OMR '000

Q3/2011

60,000 40,000 20,000

Cash

12

18

-33.33

Inventories

15,802

17,981

-12.12

Account Receivable

10,598

8,192

29.37

Current Assets

28,023

27,093

3.43

Current Liabilities

29,237

27,677

5.64

Working Capital

-1,214

-584

N/M

Total Assets

41,979

40,775

2.95

Total Liabilities

33,645

32,873

2.35

Capital

4,600

4,600

0.00

Reserves

2,018

1,868

8.03

Long Term Debts

2,830

3,701

-23.53

Owners Equity

8,333

7,902

5.45

Cash Flow Data (OMR '000) 0

2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

3,733

1,014

268.15

From Investing Activities

-630

-263

N/M

From Financing Activities

-3,254

-829

N/M

-151

-78

N/M

Increase (Decrease) in Cash Net Cash Flow


Computer Stationery Industry Co.|Industrial Last Closing:

OMR

0.33 (02/07/2012)

Activities

52-Week High:

OMR

0.33 (13/07/2011)

Manufacturing of all types of stationary paper including computer papers.

52-Week Low:

OMR

0.33 (13/07/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

0.00%

2.81%

-2.69%

1-Year

0.00%

0.82%

-4.98%

5-Year

8.33%

11.19%

-10.91%

OMR 1.00 Million

Paid Up Capital:

Daily Market Performance

10.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

30

90

627

0.02%

0.05%

0.00%

0.45 Board Members:

0.40

Ratio Comparison: Sector

Market

0.00

1.02

1.00

-29.28

10.26

11.59

P/B

1.81

1.63

1.51

P/R

0.93

1.83

1.43

D/Y

4.62

5.05

4.77

ROA

-2.07

8.56

2.56

ROE

-6.17

15.86

13.15

Net Margin

12.17

P/E

-3.17

18.04

Current Ratio

0.83

1.35

1.24

Equity/Assets

33.59

53.97

19.49

Debt/Equity

45.55

34.68

62.99

Qais M. Al Ma'shani Zaki H. Al Nasib Masoud H. M. Al Harthy Ali M. Zabnoot Hasan M. Al Lawati Ranja Jarur

0.35

OMR

Company

Beta

Chairman: Mahdi M. J. Al Abduani

0.50

OMR 3.30 Million

Market Capitalization:

0.30 0.25

Auditors: AGN Mac Ghazali

0.20

Email: csiops@omantel.net.om WebSite: www.csiops.com

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,000

OMR '000

800

600

400

200

0

-200

Q1/2012

Q4/2011

Q3/2011

Sales

Q2/2011

Q1/2011

Gross Profit

Q4/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Sales

929

942

-1.38

Gross Profit

257

286

-10.14

Gen Admin Expenses

155

123

26.02

Net Profit

-13

56

N/M

6,000

Change %

OMR '000

Income Data (OMR '000) 5,000 4,000 3,000 2,000 1,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

2008

2007

Cash

34

32

6.25

968

837

15.65

Account Receivable

1,058

1,188

-10.94

Current Assets

2,260

2,226

1.53

Current Liabilities

2,734

2,546

7.38

-474

-320

N/M

Total Assets

5,352

5,251

1.92

Inventories Total Liabilities

Owners Equity

Yearly Income Data

Working Capital

4,000 3,500

Total Liabilities

3,553

3,341

6.35

2,500

Capital

1,000

1,000

0.00

2,000

Reserves

434

433

0.23

OMR '000

3,000

1,500

Long Term Debts

1,000

Owners Equity

500 0 -500

819

795

3.02

1,798

1,910

-5.86

N/M

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

82

-5

From Investing Activities

56

-22

N/M -34.21

From Financing Activities

50

76

Increase (Decrease) in Cash

-24

-58

N/M

Net Cash Flow

128

173

-26.01


Construction Materials Industries Co.|Industrial Last Closing:

OMR

0.05 (02/07/2012)

Activities

52-Week High:

OMR

0.07 (10/04/2012)

Manufacturing and marketing of calcium silicate bricks, blocks, lime and limestone products.

52-Week Low:

OMR

0.04 (12/02/2012)

Price Performance: Company

1-Day

Sector

Market

-3.78%

-0.39%

-0.70% -0.73%

-1.93%

-0.54%

1-Month

-8.93%

-3.37%

-2.31%

3-Month

10.86%

2.81%

-2.69%

1-Year

2.00%

0.82%

-4.98%

5-Year

-57.15%

11.19%

-10.91%

1-Week

OMR 8.50 Million

Paid Up Capital:

Daily Market Performance

85.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

27

84

618

0.03%

0.06%

0.00%

Managing Director :Ahmad A. A. Al Hoqani

Ratio Comparison: Sector

1.21

1.02

1.00

P/E

-7.61

10.26

11.59

P/B

0.53

1.63

1.51

P/R

1.24

1.83

1.43

D/Y

0.00

5.05

4.77

ROA

-5.33

8.56

2.56

-6.97

15.86

13.15

-16.37

18.04

12.17

ROE Net Margin Current Ratio

1.96

1.35

1.24

Equity/Assets

76.45

53.97

19.49

9.33

34.68

62.99

Debt/Equity

0.058

Board Members:

0.056

Nabeel E. M. Al Husayni Naser A. Al Hoqani Hussam H. O. Al Bustami Waseem S. A. Qaraeen

Market

Beta

OMR

Company

Chairman: Nasser A. S. Al Hoqani

0.060

OMR 4.25 Million

Market Capitalization:

0.054

Auditors: Talal Abu Ghazaleh & Co.

0.052

Email: cmioman@omantel.net.om WebSite: www.cmioman.com

800,000 700,000 600,000 500,000 400,000 300,000 200,000 100,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,000

OMR '000

800 600 400 200 0 -200 -400 -600

Q1/2012

Q4/2011

Q3/2011

Sales

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Sales

989

704

40.48

Gross Profit

186

38

389.47

86

70

22.86

142

-44

N/M

12,000

Change %

OMR '000

Income Data (OMR '000) 10,000 8,000 6,000

Gen Admin Expenses

4,000

Net Profit

2,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

2008

2007

Cash

193

892

-78.36

1,163

863

34.76

849

691

22.87

Current Assets

2,595

2,967

-12.54

Current Liabilities

1,322

924

43.07

Working Capital

1,273

2,043

-37.69

Inventories Total Liabilities

Account Receivable

Owners Equity

Yearly Income Data

10,717

11,096

-3.42

Total Liabilities

Total Assets

2,524

2,332

8.23

2,000

Capital

8,500

8,500

0.00

1,500

Reserves

240

240

0.00

3,500 3,000

OMR '000

2,500

1,000

Long Term Debts

500

1,000

8,193

8,763

-6.50

Cash Flow From Operating Activities

76

283

-73.14

From Investing Activities

-3

-41

N/M

From Financing Activities

-38

-295

N/M

35

-54

N/M

223

83

168.67

Owners Equity

0 -500 -1,000

764

-23.60

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Increase (Decrease) in Cash Net Cash Flow


Dhofar Beverages & Foodstuff Co.|Industrial Last Closing:

OMR

0.24 (02/07/2012)

Activities

52-Week High:

OMR

0.24 (13/07/2011)

Manufacturing, bottling and marketing of carbonated drinks and juices.

52-Week Low:

OMR

0.24 (13/07/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

0.00%

2.81%

-2.69%

1-Year

0.00%

0.82%

-4.98%

5-Year

56.77%

11.19%

-10.91%

OMR 2.00 Million

Paid Up Capital:

Daily Market Performance

20.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

25

81

615

0.03%

0.07%

0.00%

0.36 Board Members:

0.32

Ratio Comparison: Sector

Market

0.02

1.02

1.00

P/E

81.00

10.26

11.59

P/B

1.85

1.63

1.51

P/R

1.26

1.83

1.43

D/Y

0.00

5.05

4.77

ROA

1.88

8.56

2.56

ROE

2.29

15.86

13.15

Net Margin

1.56

18.04

12.17

Current Ratio

3.60

1.35

1.24

Equity/Assets

82.02

53.97

19.49

-

34.68

62.99

Debt/Equity

Hamed H. Al Ghafri Abdulla M. Mohammed Mohammad S. Al Ghafri Omar S. A. Al Dhahab Omar M. O. Al Sheikh

0.28

OMR

Company

Beta

Chairman: Azan A. M. Al Shanfari

0.40

OMR 4.80 Million

Market Capitalization:

0.24 0.20

Auditors: Talal Abu Ghazaleh & Co.

0.16

Email: dbcsal@omantel.net.om WebSite:

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,200

OMR '000

1,000 800 600 400 200 0 -200

Q1/2012

Q4/2011

Q3/2011

Sales

OMR '000

Q2/2010

Q1/2010

Net Profit

31/03/2011

Change %

Sales

909

799

13.77

Gross Profit

271

236

14.83

Gen Admin Expenses

101

84

20.24

50

-35

N/M

33.33

Income Data (OMR '000)

4,000 3,500 3,000 2,500 2,000 1,500

Net Profit

1,000

Balance Sheet Data (OMR '000)

500 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

40

30

Inventories

575

532

8.08

Account Receivable

443

536

-17.35

2,068

2,481

-16.65 -47.39

Current Assets Current Liabilities

Yearly Income Data 4,000 3,500

575

1,093

Working Capital

1,493

1,388

7.56

Total Assets

3,198

3,674

-12.96

Total Liabilities

3,000

OMR '000

Gross Profit

Q4/2010

31/03/2012

4,500

2,500

Capital

2,000

Reserves

1,500

575

1,093

-47.39

2,000

2,000

0.00

508

504

0.79

2,623

2,581

1.63

-122

-233

N/M

-53

114

N/M

-119

N/M

Long Term Debts

1,000

Owners Equity

500 0 -500

Q1/2011

3-Month Financial Data

Total Assets

0

Q2/2011

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Sales

Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow

2 -134


Dhofar Cattle Feed Co.|Industrial Last Closing:

OMR

0.14 (02/07/2012)

Activities

52-Week High:

OMR

0.16 (12/04/2012)

Production and marketing of animal feed, and dairy products.

52-Week Low:

OMR

0.11 (09/08/2011)

Price Performance: Company

Sector

Market

0.00%

-0.39%

-0.70%

1-Week

0.00%

-0.54%

-0.73%

1-Month

-4.90%

-3.37%

-2.31%

3-Month

-6.21%

2.81%

-2.69%

1-Year

5.42%

0.82%

-4.98%

5-Year

-41.33%

11.19%

-10.91%

1-Day

OMR 7.70 Million

Paid Up Capital:

Daily Market Performance

77.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Khalid M. A. Al Mashani

0.144

OMR 10.78 Million

Market Capitalization:

Market

GCC

20

67

574

0.06%

0.15%

0.00%

0.142

Board Members:

Amer A. A. Al Rawas Mohammad A. F. Zabanoot Mohammad A. S. Al Rawas Khaled A. S. Al Rawwas Homoud M. A. Al Ma'shani Omar A. A. Al Sheikh Salem A. F. Al Awwadi Hasan S. Kashoub Aftab Patel

0.140

Ratio Comparison: Sector

Market

1.35

1.02

1.00

P/E

15.45

10.26

11.59

P/B

0.26

1.63

1.51

P/R

0.41

1.83

1.43

D/Y

3.68

5.05

4.77

ROA

1.30

8.56

2.56

ROE

1.69

15.86

13.15

Net Margin

2.67

18.04

12.17

Current Ratio

1.05

1.35

1.24

Equity/Assets

76.74

53.97

19.49

0.19

34.68

62.99

Debt/Equity

OMR

Company

Beta

0.138 0.136

Auditors: KPMG

350,000 300,000 250,000 200,000 150,000 100,000 50,000 0

Email: ahmedsuhailalhadhri@dcfoman.om WebSite: www.alsafwahdairy.com

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 7,000 6,000

17.83%

Mustahil A. Al Ma'shani

OMR '000

Muscat Overseas Co.

13.92%

Al Rawas Development & Investment Co.

10.47%

5,000 4,000 3,000 2,000 1,000 0 -1,000

Q1/2012

Q4/2011

Others

Sales

57.78%

70,000

OMR '000

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

60,000 50,000

Sales

6,352

5,744

10.58

40,000

Gross Profit

1,666

1,105

50.77

30,000

Gen Admin Expenses

372

329

13.07

20,000

Net Profit

341

-268

N/M

10,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

694

1,901

-63.49

Inventories

5,516

4,180

31.96

Account Receivable

5,640

4,698

20.05

11,850

10,779

9.94

12,874

-11.98

Current Assets Current Liabilities

Yearly Income Data

Working Capital

11,332

-2,095

N/M

28,000

Total Assets

52,295

54,479

-4.01

24,000

Total Liabilities

11,820

13,386

-11.70

7,700

7,000

10.00

15,934

16,852

-5.45

20,000

OMR '000

Q3/2011

Capital

16,000

Reserves

12,000 8,000

Long Term Debts

4,000

Owners Equity

0 -4,000

518

75

146

-48.63

40,129

40,789

-1.62

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

1,159

-1,194

N/M

From Investing Activities

7

-79

N/M

From Financing Activities

-766

71

N/M

400

-1,202

N/M

1,315

-1,021

N/M

Increase (Decrease) in Cash Net Cash Flow


Dhofar Fisheries Industries Co.|Industrial Last Closing:

OMR

1.28 (02/07/2012)

Activities

52-Week High:

OMR

1.28 (21/08/2011)

Fishing, Processing, canning and marketing fish products locally and internationally.

52-Week Low:

OMR

1.28 (13/07/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

0.00%

2.81%

-2.69%

1-Year

0.00%

0.82%

-4.98%

5-Year

27.91%

11.19%

-10.91%

OMR 2.54 Million

Paid Up Capital:

Daily Market Performance

2.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

31

91

628

0.02%

0.05%

0.00%

1.8 Board Members:

1.6

Ratio Comparison: Sector

Market

Beta

0.00

1.02

1.00

P/E

-3.71

10.26

11.59

P/B

2.41

1.63

1.51

P/R

0.68

1.83

1.43

D/Y

0.00

5.05

4.77

ROA

-12.73

8.56

2.56

ROE

-64.81

15.86

13.15

Net Margin

-18.24

18.04

12.17

Current Ratio

1.03

1.35

1.24

Equity/Assets

19.63

53.97

19.49

296.30

34.68

62.99

Debt/Equity

Mahesh Sherigar Densil Quadros Humaid B. Al Muhairi

1.4

OMR

Company

Chairman: Tayeb A. Baker

2.0

OMR 3.25 Million

Market Capitalization:

Auditors: Moore Stephens

1.2 1

Email: difco@omantel.net.om

0.8

WebSite: www.dhofarfisheries.com

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,800 1,600

OMR '000

1,400 1,200 1,000 800 600 400 200 0 -200 -400 -600 -800

Q1/2012

Q4/2011

Q3/2011

Sales

OMR '000

12,000

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

Change %

1,728

659

162.22

199

-49

N/M

97

75

29.33

-107

-312

N/M

214.29

Income Data (OMR '000)

10,000 8,000

Sales

6,000

Gross Profit

4,000

Gen Admin Expenses

2,000

Net Profit

0 (2,000)

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

OMR '000

Q1/2011

3-Month Financial Data

Total Assets

(4,000)

Q2/2011

Cash

154

49

Inventories

467

494

-5.47

Account Receivable

682

356

91.57

Current Assets

1,565

1,146

36.56

Current Liabilities

1,526

838

82.10

39

308

-87.34

Working Capital

4,000

Total Assets

6,876

7,060

-2.61

3,000

Total Liabilities

5,526

4,838

14.22

2,000

Capital

2,540

2,540

0.00

1,000

Reserves

4

1

300.00

Long Term Debts

4,000

4,000

0.00

Owners Equity

1,350

2,222

-39.24

9

-7

N/M

-13

1

N/M

0 -1,000 -2,000

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Sales

Gross Profit Net Profit

From Financing Activities

107

13

723.08

Increase (Decrease) in Cash

103

7

1,371.43

-1

-213

N/M

Net Cash Flow


Al-Oula Co.|Industrial Last Closing:

OMR

0.53 (02/07/2012)

Activities

52-Week High:

OMR

0.53 (13/07/2011)

Excavating, processing and marketing of Marble and Granite.

52-Week Low:

OMR

0.53 (21/08/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

0.00%

2.81%

-2.69%

1-Year

0.00%

0.82%

-4.98%

5-Year

-46.95%

11.19%

-10.91%

OMR 5.10 Million

Paid Up Capital:

Daily Market Performance

5.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Bakhit J. Al-Kathiri

0.8

OMR 2.70 Million

Market Capitalization:

Market

GCC

34

95

632

0.02%

0.04%

0.00%

0.7

Board Members:

Khaled A. T. Moqaibel Nabil E. Salim Hussain S. Abdullah

0.6

Ratio Comparison: Sector

Market

-0.01

1.02

1.00

-14.60

10.26

11.59

P/B

7.44

1.63

1.51

P/R

5.15

1.83

1.43

D/Y

0.00

5.05

4.77

ROA

-9.28

8.56

2.56

ROE

-50.96

15.86

13.15

Net Margin

-35.24

18.04

12.17

P/E

Current Ratio

0.62

1.35

1.24

Equity/Assets

18.20

53.97

19.49

Debt/Equity

27.55

34.68

62.99

OMR

Company

Beta

0.5

Auditors: Abu Timam

0.4

Email: dmgco@omantel.net.om

0.3

WebSite:

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data

OMR '000

320

120

-80

Q1/2012

Q4/2011

Q3/2011

Sales

Q2/2010

Q1/2010

Net Profit

31/03/2011

Change %

Sales

149

146

2.05

Gross Profit

-19

-11

N/M

42

41

2.44

-69

-62

N/M

-5.88

Income Data (OMR '000)

3,000

OMR '000

Gross Profit

Q3/2010

31/03/2012

3,500

2,500 2,000 1,500 1,000

Gen Admin Expenses

500

Net Profit

0

Balance Sheet Data (OMR '000)

(500) 2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Account Receivable

Owners Equity

Current Assets Current Liabilities

Yearly Income Data

Working Capital Total Assets

600

OMR '000

Q1/2011

3-Month Financial Data

Total Assets

(1,000)

Q2/2011

16

17

567

557

1.80

97

48

102.08

946

966

-2.07

1,531

1,433

6.84

-585

-467

N/M

1,994

2,181

-8.57

400

Total Liabilities

1,631

1,633

-0.12

200

Capital

5,100

5,100

0.00

Long Term Debts

100

200

-50.00

Owners Equity

363

549

-33.88

Reserves

0 -200 -400 -600

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

18

51

-64.71

From Investing Activities

-1

-16

N/M

From Financing Activities

-3

-31

N/M

5

200.00

Increase (Decrease) in Cash Net Cash Flow

15


Flexible Ind. Packages Co.|Industrial Last Closing:

OMR

0.13 (02/07/2012)

Activities

52-Week High:

OMR

0.14 (13/07/2011)

The company is engaged in manufacturing of flexible packages.

52-Week Low:

OMR

0.13 (01/04/2012)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73% -2.31%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

3-Month

0.00%

2.81%

-2.69%

1-Year

-7.41%

0.82%

-4.98%

5-Year

43.84%

11.19%

-10.91%

OMR 2.12 Million

Paid Up Capital:

Daily Market Performance

21.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

35

96

633

0.02%

0.04%

0.00%

Board Members:

0.16

Market

-0.01

1.02

1.00

P/E

9.54

10.26

11.59

P/B

1.04

1.63

1.51

P/R

0.42

1.83

1.43

D/Y

0.00

5.05

4.77

ROA

3.69

8.56

2.56

ROE

10.83

15.86

13.15

Net Margin

4.38

18.04

12.17

Current Ratio

1.11

1.35

1.24

Equity/Assets

34.09

53.97

19.49

Debt/Equity

22.28

34.68

62.99

Lakshmi Narasimhan Khalid M. Obaid Murali Chidambaram Tariq M. A. Al Barwani Talal Z. Alhathal

0.14

OMR

Sector

Beta

CEO::Avinash Kumar

0.18

Ratio Comparison: Company

Chairman: Usama M. A. Al-Barwani

0.20

OMR 2.76 Million

Market Capitalization:

0.12 0.10

Auditors: Abu Timam

0.08

Email: fipco@omantel.net.om WebSite: www.fipco-gulf.com

1,000 800 600 400 200 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,800 1,600

OMR '000

1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Q3/2011

Sales

7,000

OMR '000

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

1,686

1,009

67.10

322

182

76.92

Income Data (OMR '000)

6,000 5,000

Sales

4,000

Gross Profit

3,000

Gen Admin Expenses

52

44

18.18

Net Profit

86

15

473.33

2,000 1,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

Cash

11

49

-77.55

Inventories

2,406

1,441

66.97

Account Receivable

2,406

1,625

48.06

Current Assets

4,823

3,115

54.83

Current Liabilities

4,341

2,637

64.62

482

478

0.84

7,503

5,765

30.15 41.96

Working Capital Total Assets

6,000

OMR '000

Q2/2011

5,000

Total Liabilities

4,946

3,484

4,000

Capital

2,121

2,121

0.00

3,000

Reserves

147

130

13.08

Long Term Debts

2,000

Owners Equity

1,000 0

570

820

-30.49

2,558

2,280

12.19

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

-34

134

N/M

From Investing Activities

-102

-29

N/M

From Financing Activities

-17

-25

N/M

-153

79

N/M

205

115

78.26

Increase (Decrease) in Cash Net Cash Flow


Gulf International Chemicals Co.|Industrial Last Closing:

OMR

0.15 (02/07/2012)

Activities

52-Week High:

OMR

0.21 (20/03/2012)

The company is engaged in manufacturing of construction materials and road treatment chemicals and related products.

52-Week Low:

OMR

0.11 (22/11/2011)

Price Performance: Company

Sector

Market

2.00%

-0.39%

-0.70%

1-Week

2.00%

-0.54%

-0.73%

1-Month

-6.14%

-3.37%

-2.31%

3-Month

-17.30%

2.81%

-2.69%

1-Year

-23.12%

0.82%

-4.98%

5-Year

30.76%

11.19%

-10.91%

1-Day

OMR 2.10 Million

Paid Up Capital:

Daily Market Performance

21.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Ahmad Z. N. Al Mahrami

0.168

OMR 3.15 Million

Market Capitalization:

Market

CEO::Mohammad Al Fadel

GCC

32

92

629

0.02%

0.05%

0.00%

0.164

Board Members:

Abdulamir S. M. Al Lawati Murtada A. Sultan

0.160

Ratio Comparison: Sector

Market

1.17

1.02

1.00

P/E

11.59

10.26

11.59

P/B

1.26

1.63

1.51

P/R

1.00

1.83

1.43

D/Y

0.00

5.05

4.77

ROA

8.44

8.56

2.56

ROE

10.92

15.86

13.15

8.61

18.04

12.17

Net Margin Current Ratio

4.74

1.35

1.24

Equity/Assets

77.34

53.97

19.49

1.53

34.68

62.99

Debt/Equity

OMR

Company

Beta

Auditors: KPMG

0.156

Email: gulfint@omantel.net.om

0.152

WebSite: www.gicoman.com

350,000 300,000 250,000 200,000 150,000 100,000 50,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,400

OMR '000

1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Q3/2011

Sales

Q2/2010

Q1/2010

Net Profit

31/03/2011

Change %

Sales

859

1,068

-19.57

Gross Profit

286

351

-18.52

91

87

4.60

94

146

-35.62

Cash

476

893

-46.70

Inventories

439

465

-5.59

Account Receivable

1,681

1,832

-8.24

Current Assets

2,739

3,318

-17.45 -37.11

Income Data (OMR '000)

4,000

OMR '000

Gross Profit

Q3/2010

31/03/2012

4,500

3,500 3,000 2,500 2,000

Gen Admin Expenses

1,500

Net Profit

1,000

Balance Sheet Data (OMR '000)

500 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Current Liabilities

578

919

Working Capital

2,161

2,399

-9.92

7,000

Total Assets

3,292

3,928

-16.19

6,000

Total Liabilities

-28.52

5,000

Capital

4,000

Reserves

3,000

Long Term Debts

2,000

Owners Equity

Yearly Income Data

OMR '000

Q1/2011

3-Month Financial Data

Total Assets

0

Q2/2011

1,000 0

747

1,045

2,100

2,100

0.00

315

269

17.10

39

51

-23.53

2,546

2,882

-11.66

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

90

175

-48.57

From Investing Activities

1

1

0.00

From Financing Activities

-310

-127

N/M

-219

161

N/M

176

186

-5.38

Increase (Decrease) in Cash Net Cash Flow


Gulf Mushroom Products Co.|Industrial Last Closing:

OMR

0.46 (02/07/2012)

Activities

52-Week High:

OMR

0.49 (29/12/2011)

Cultivation, Processing and Marketing of Mushrooms.

52-Week Low:

OMR

0.32 (20/11/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

2.22%

-0.54%

1-Month

0.65%

-3.37%

-2.31%

3-Month

-3.97%

2.81%

-2.69%

1-Year

15.00%

0.82%

-4.98%

5-Year

298.61%

11.19%

-10.91%

OMR 1.87 Million

Paid Up Capital:

Daily Market Performance

18.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Khamis M. Kiyumi

0.480

OMR 8.61 Million

Market Capitalization:

Market

GCC

21

72

594

0.05%

0.12%

0.00%

0.476

Managing Director :Mukhtar M. Hasan Board Members:

0.472

Musallam S. Al Shukairi Clint Albano Omar S. Al Shanfari Ali M. Zaabanoot

0.468

Ratio Comparison: Sector

Market

0.35

1.02

1.00

P/E

7.58

10.26

11.59

P/B

2.01

1.63

1.51

P/R

1.54

1.83

1.43

D/Y

8.70

5.05

4.77

ROA

14.59

8.56

2.56

ROE

26.47

15.86

13.15

Net Margin

20.37

18.04

12.17

Current Ratio

1.74

1.35

1.24

Equity/Assets

55.12

53.97

19.49

Debt/Equity

42.72

34.68

62.99

OMR

Company

Beta

0.464

Auditors: PricewaterhouseCoopers

0.460 0.456

Email: gmpco@omantel.net.om

0.452

WebSite: http://www.gulfmushroom.com

1,000,000 800,000 600,000 400,000 200,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,600

OMR '000

1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Q3/2011

Sales

OMR '000

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

Change %

1,480

1,198

23.54

809

589

37.35

92

71

29.58

380

176

115.91

Cash

844

979

-13.79

Inventories

568

506

12.25

Account Receivable

1,014

891

13.80

Current Assets

2,426

2,376

2.10

8,000

Income Data (OMR '000)

7,000 6,000

Sales

5,000

Gross Profit

4,000

Gen Admin Expenses

3,000

Net Profit

2,000 1,000

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Current Liabilities

1,391

1,514

-8.12

Working Capital

1,035

862

20.07

6,000

Total Assets

7,785

7,682

1.34

5,000

Total Liabilities

3,494

4,060

-13.94

4,000

Capital

2,059

1,872

9.99

3,000

Reserves

1,569

1,455

7.84

Yearly Income Data

OMR '000

Q1/2011

3-Month Financial Data

Total Assets

0

Q2/2011

2,000 1,000 0

Long Term Debts

1,833

2,283

-19.71

Owners Equity

4,291

3,623

18.44

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

446

268

66.42

From Investing Activities

-72

-134

N/M

375

135

177.78

From Financing Activities Increase (Decrease) in Cash Net Cash Flow


Gulf Plastic Industries Co.|Industrial Last Closing:

OMR

0.39 (02/07/2012)

Activities

52-Week High:

OMR

0.39 (21/08/2011)

Manufacturing of plastic products such as cups, and plastic bags.

52-Week Low:

OMR

0.39 (13/07/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

0.00%

2.81%

-2.69%

1-Year

0.00%

0.82%

-4.98%

5-Year

-2.51%

11.19%

-10.91%

OMR 1.00 Million

Paid Up Capital:

Daily Market Performance

1.00 Million

Outstanding Shares:

Market

GCC

111

0.55

44

649

0.01%

0.00%

0.50

Board Members:

0.00%

0.45

Zaki H. Naseeb Khalood M. R. Al Araimi

Sector Rank Share Ratio Comparison:

Sector

0.40

Market

0.02

1.02

1.00

P/E

1.35

10.26

11.59

P/B

0.29

1.63

1.51

P/R

0.08

1.83

1.43

D/Y

0.00

5.05

4.77

ROA

9.18

8.56

2.56

ROE

21.51

15.86

13.15

6.14

18.04

12.17

Current Ratio

1.27

1.35

1.24

Equity/Assets

42.70

53.97

19.49

Debt/Equity

27.63

34.68

62.99

OMR

Company

Beta

Net Margin

Chairman: Mohammed A. M. Al Fannah

0.60

OMR 0.39 Million

Market Capitalization:

0.35

Auditors: Deloitte & Touche

0.30

Email: gpico@omantel.net.om

0.25

WebSite: www.gulfplastic.com

0.20 1.0 0.8 0.6 0.4 0.2 0.0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,400

OMR '000

1,200 1,000 800 600 400 200 0 -200

Q1/2012

Q4/2011

Q3/2011

Sales

4,000

OMR '000

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

3,500 3,000

Sales

1,180

927

27.29

2,500

Gross Profit

260

162

60.49

1,500

Gen Admin Expenses

109

100

9.00

1,000

Net Profit

94

1

9,300.00

Cash

193

258

-25.19

Inventories

521

407

28.01

Account Receivable

966

730

32.33

Current Assets

1,680

1,395

20.43

Current Liabilities

1,322

892

48.21

358

503

-28.83

Total Assets

3,136

3,032

3.43

Total Liabilities

1,797

1,932

-6.99

3,000

Capital

1,000

1,000

0.00

2,500

Reserves

102

73

39.73

2,000

500 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

Working Capital

4,500 4,000 3,500

OMR '000

Q2/2011

2,000

Long Term Debts

1,500

Owners Equity

1,000 500 0

370

963

-61.58

1,339

1,100

21.73

81

99

-18.18

-14

-1

N/M

-110

-93

N/M

-43

5

N/M

94

1

9,300.00

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Sales

Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow


Gulf Stone Co.|Industrial Last Closing:

OMR

0.12 (02/07/2012)

Activities

52-Week High:

OMR

0.12 (13/07/2011)

Production of marble and granite products.

52-Week Low:

OMR

0.12 (13/07/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

0.00%

2.81%

-2.69%

1-Year

0.00%

0.82%

-4.98%

5-Year

27.77%

11.19%

-10.91%

OMR 3.30 Million

Paid Up Capital:

Daily Market Performance

33.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

28

85

621

0.02%

0.05%

0.00%

0.16 Board Members:

0.14

Ratio Comparison: Sector

Market

Beta

0.00

1.02

1.00

P/E

7.32

10.26

11.59

P/B

0.90

1.63

1.51

P/R

0.95

1.83

1.43

D/Y

0.00

5.05

4.77

ROA

8.06

8.56

2.56

ROE

12.26

15.86

13.15

Net Margin

13.05

18.04

12.17

Current Ratio

1.62

1.35

1.24

Equity/Assets

65.72

53.97

19.49

-

34.68

62.99

Debt/Equity

Khalfan S. Al Kaabi Faris M. Fadelallah Haifa A. Daghi Nawwar A. Al Haraki

0.12

OMR

Company

Chairman: Ahmed M. Al Rasbi

0.18

OMR 3.96 Million

Market Capitalization:

0.10

Auditors: Deloitte & Touche

0.08

Email: gulfston@omantel.net.om

0.06

WebSite: www.gulfstone-oman.com

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,200

OMR '000

1,000

800

600

400

200

0

Q1/2012

Q4/2011

Q3/2011

Sales

7,000

OMR '000

Q1/2011

Gross Profit

Q4/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

35.20

Income Data (OMR '000)

6,000 5,000

Sales

964

713

4,000

Gross Profit

298

209

42.58

3,000

Gen Admin Expenses

87

76

14.47

152

98

55.10

2,000

Net Profit

1,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

OMR '000

Q2/2011

196

102

92.16

Inventories

Cash

1,463

1,326

10.33

Account Receivable

1,403

715

96.22

Current Assets

3,062

2,143

42.88

Current Liabilities

1,892

1,662

13.84

Working Capital

1,170

481

143.24 12.05

5,000

Total Assets

6,442

5,749

4,000

Total Liabilities

2,208

2,033

8.61

Capital

3,630

3,300

10.00

317

271

16.97

4,234

3,716

13.94

3,000

Reserves Long Term Debts

2,000

Owners Equity

1,000

63

Cash Flow Data (OMR '000) 0

2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

-143

24

N/M

From Investing Activities

-6

-12

N/M

From Financing Activities

141

-299

N/M

-9

-105

N/M

242

182

32.97

Increase (Decrease) in Cash Net Cash Flow


Majan Glass Co.|Industrial Last Closing:

OMR

0.48 (02/07/2012)

Activities

52-Week High:

OMR

0.60 (13/07/2011)

Manufacturing of hollow glass containers for soft drinks, food and pharmaceutical products.

52-Week Low:

OMR

0.48 (28/06/2012)

Price Performance: Company

Sector

Market

0.00%

-0.39%

-0.70%

1-Week

-3.62%

-0.54%

-0.73%

1-Month

-3.62%

-3.37%

-2.31%

3-Month

-3.62%

2.81%

-2.69%

1-Year

-19.90%

0.82%

-4.98%

5-Year

-8.92%

11.19%

-10.91%

1-Day

OMR 3.82 Million

Paid Up Capital:

Daily Market Performance

38.00 Million

Outstanding Shares:

Sector

Share

Market

GCC

12

49

512

0.11%

0.27%

0.01%

Rank

Chairman: Anwar A. Sultan

0.500

OMR 18.34 Million

Market Capitalization:

0.496

Board Members:

Ali H. Sulaiman Mustafa A. Salman Ali M. R. Jaafar Sami Al Saheb Ali H. Al Dareai

0.492

Ratio Comparison: Sector

Market

0.21

1.02

1.00

P/E

19.83

10.26

11.59

P/B

1.48

1.63

1.51

P/R

2.17

1.83

1.43

D/Y

4.54

5.05

4.77

ROA

6.03

8.56

2.56

ROE

7.43

15.86

13.15 12.17

Net Margin

10.91

18.04

Current Ratio

2.74

1.35

1.24

Equity/Assets

81.10

53.97

19.49

-

34.68

62.99

Debt/Equity

OMR

Company

Beta

0.488

Auditors: Talal Abu Ghazaleh & Co.

0.484

Email: magglass@omantel.net.om WebSite:

5,000 4,000 3,000 2,000 1,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

OMR '000

Quarterly Income Data

Others

24.80%

Oman's Ministry of Finance

3,000 2,800 2,600 2,400 2,200 2,000 1,800 1,600 1,400 1,200 1,000 800 600 400 200 0 -200 -400

Q1/2012

75.20%

Q4/2011

Q3/2011

Sales

18,000

OMR '000

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

16,000 14,000

Sales

12,000 10,000 8,000 6,000

1,675

1,921

-12.81

Gross Profit

763

848

-10.02

Gen Admin Expenses

179

154

16.23

344

501

-31.34

-76.51

Net Profit

4,000

Balance Sheet Data (OMR '000)

2,000 2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Account Receivable

Owners Equity

Current Assets

Yearly Income Data

OMR '000

Q2/2011

3-Month Financial Data

Total Assets

0

7/1

319

1,358

2,518

1,738

44.88

971

1,240

-21.69

4,781

5,201

-8.08

Current Liabilities

1,743

1,091

59.76

Working Capital

3,038

4,110

-26.08

15,316

14,665

4.44

2,895

2,335

23.98

12,000

Total Assets

10,000

Total Liabilities

8,000

Capital

3,820

3,322

14.99

6,000

Reserves

1,218

1,218

0.00

12,422

12,330

0.75

Long Term Debts

4,000

Owners Equity

2,000 0

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

-170

291

N/M

From Investing Activities

Cash Flow From Operating Activities

-6

30

N/M

From Financing Activities

-1,031

-1,529

N/M

Increase (Decrease) in Cash

-1,207

-1,207

N/M

Net Cash Flow


Muscat Gases Co.|Industrial Last Closing:

OMR

0.82 (02/07/2012)

Activities

52-Week High:

OMR

0.82 (05/04/2012)

Production of industrial gases, in addition to bottling and distribution of cooking gas.

52-Week Low:

OMR

0.72 (24/01/2012)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73% -2.31%

1-Week

5.12%

-0.54%

1-Month

5.12%

-3.37%

3-Month

9.47%

2.81%

-2.69%

1-Year

12.32%

0.82%

-4.98%

5-Year

293.66%

11.19%

-10.91%

OMR 3.00 Million

Paid Up Capital:

Daily Market Performance

30.00 Million

Outstanding Shares:

Sector

Share

Market

GCC

11

45

485

0.14%

0.36%

0.01%

Rank

Chairman: Jamal S. R. Al Ojaili

0.820

OMR 24.60 Million

Market Capitalization:

0.815 Board Members:

0.810

Abdulrazak K. Mohammed Fayez M. M. Hassan Saleem P. B. Shadad Saif S. S. Al Yazidi Faris M. Fadelallah

0.805

Ratio Comparison: Sector

Market

0.26

1.02

1.00

P/E

17.86

10.26

11.59

P/B

3.76

1.63

1.51

P/R

3.07

1.83

1.43

D/Y

7.32

5.05

4.77

ROA

16.26

8.56

2.56

ROE

21.09

15.86

13.15

Net Margin

12.17

17.18

18.04

Current Ratio

2.10

1.35

1.24

Equity/Assets

77.13

53.97

19.49

-

34.68

62.99

Debt/Equity

OMR

Company

Beta

0.800 0.795

Auditors: Talal Abu Ghazaleh & Co.

0.790

Email: musingas@omantel.net.om

0.785

WebSite:

6,000,000 5,000,000 4,000,000 3,000,000 2,000,000 1,000,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 2,400 2,200

Al Tamman Trading & Contracting Est. Civil Service 11.39% Employees Pension Fund

OMR '000

Global Financial Investments Co.

2,000

10.13%

25.00%

Al Soud Investment Co.

1,800 1,600 1,400 1,200 1,000

6.01%

800 600 400 200 0

Q1/2012

Q4/2011

Others

Q3/2011

Sales

47.47%

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 10,000

31/03/2012

31/03/2011

Change %

12.33

OMR '000

Income Data (OMR '000) 8,000

Sales

2,223

1,979

6,000

Gross Profit

572

593

-3.54

4,000

Gen Admin Expenses

113

86

31.40

Net Profit

476

475

0.21

-62.86

2,000

Balance Sheet Data (OMR '000) 0

2011

2010

2009

2008

2007

726

1,955

Inventories

1,072

819

30.89

Account Receivable

1,843

1,499

22.95

Current Assets

3,641

4,273

-14.79

Current Liabilities

1,731

1,361

27.19

Working Capital

1,910

2,912

-34.41

8,000

Total Assets

8,473

8,510

-0.43

7,000

Total Liabilities

1,937

1,559

24.25

Total Liabilities

Owners Equity

Yearly Income Data

6,000

OMR '000

Cash

Capital

3,000

3,000

0.00

4,000

Reserves

2,666

2,659

0.26

3,000

Long Term Debts 6,535

6,951

-5.98

5,000

Owners Equity

2,000 1,000 0

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

777

167

365.27

From Investing Activities

-12

-333

N/M

From Financing Activities

-1,800

-1,229

N/M

Increase (Decrease) in Cash

-1,035

-1,396

N/M

546

586

-6.83

Net Cash Flow


Muscat Thread Mills Co.|Industrial Last Closing:

OMR

0.19 (02/07/2012)

Activities

52-Week High:

OMR

0.21 (19/03/2012)

The company is engaged in manufacturing of Sewing Threads.

52-Week Low:

OMR

0.09 (18/12/2011)

Price Performance: Company

1-Day

Sector

Market

-3.00%

-0.39%

-0.70% -0.73% -2.31%

1-Week

-3.00%

-0.54%

1-Month

2.10%

-3.37%

3-Month

1.41%

2.81%

-2.69%

1-Year

94.00%

0.82%

-4.98%

5-Year

147.76%

11.19%

-10.91%

OMR 1.02 Million

Paid Up Capital:

Daily Market Performance

10.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

37

99

637

0.01%

0.03%

0.00%

Board Members:

0.200

Market

0.01

1.02

1.00

P/E

6.28

10.26

11.59

P/B

1.46

1.63

1.51

P/R

0.50

1.83

1.43

D/Y

6.75

5.05

4.77

ROA

13.64

8.56

2.56

ROE

23.35

15.86

13.15

8.01

18.04

12.17

Net Margin Current Ratio

1.52

1.35

1.24

Equity/Assets

58.40

53.97

19.49

0.96

34.68

62.99

Debt/Equity

Srinivasan Ramakrishnan Balachandran T. Chatoth Gopalan Arunachalam Taizoon Khorakiwala

0.195

OMR

Sector

Beta

CEO::Muhammad N. Sumar

0.205

Ratio Comparison: Company

Chairman: Mukhtar Hasan

0.210

OMR 1.93 Million

Market Capitalization:

0.190

Auditors: BDO Jawad Habib

0.185

Email: mail@mtm.com.om

0.180

WebSite: www.mtm.com.om

1,400,000 1,200,000 1,000,000 800,000 600,000 400,000 200,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,200

OMR '000

1,000

800

600

400

200

0

Q1/2012

Q4/2011

Q3/2011

Sales

2,800

OMR '000

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

3.07

Income Data (OMR '000)

2,400 2,000

Sales

941

913

1,600

Gross Profit

214

205

4.39

1,200

Gen Admin Expenses

81

62

30.65

101

49

106.12

800

Net Profit

400 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

22

10

120.00

Inventories

421

594

-29.12

Account Receivable

918

796

15.33

1,440

1,524

-5.51

Current Assets

Yearly Income Data

Current Liabilities

948

1,168

-18.84

Working Capital

492

356

38.20

2,310

2,489

-7.19

961

1,321

-27.25

1,018

886

14.90

120

89

34.83

13

153

-91.50

1,349

1,168

15.50

4,000

Total Assets

3,500

Total Liabilities

3,000

OMR '000

Q2/2011

Capital

2,500 2,000

Reserves

1,500

Long Term Debts

1,000

Owners Equity

500 0

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

-2

5

N/M

From Investing Activities

-7

-7

N/M

From Financing Activities

-14

-85

N/M

Increase (Decrease) in Cash

-23

-87

N/M

Net Cash Flow


National Aluminium Products Co.|Industrial Last Closing:

OMR

0.20 (02/07/2012)

Activities

52-Week High:

OMR

0.43 (25/07/2011)

Manufacturing and selling of aluminium products.

52-Week Low:

OMR

0.20 (02/07/2012)

Price Performance: Company

1-Day

Sector

Market

-2.44%

-0.39%

-0.70% -0.73%

-6.98%

-0.54%

1-Month

-13.05%

-3.37%

-2.31%

3-Month

-45.95%

2.81%

-2.69%

1-Year

-47.37%

0.82%

-4.98%

5-Year

-43.98%

11.19%

-10.91%

1-Week

OMR 3.36 Million

Paid Up Capital:

Daily Market Performance

33.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Rashed S. Al Saadi

0.240

OMR 6.71 Million

Market Capitalization:

Market

GCC

22

76

605

0.04%

0.10%

0.00%

0.235 Board Members:

0.230

Akshay J. Kothari Abdullah S. A. Al Harthy Ahmed S. Al Yaqoobi Nofal H. R. Ibrahim Wasfi J. A. Al Said

0.225

Ratio Comparison: Sector

Market

1.63

1.02

1.00

P/E

6.19

10.26

11.59

P/B

0.91

1.63

1.51

P/R

0.33

1.83

1.43

D/Y

20.00

5.05

4.77

ROA

6.61

8.56

2.56

ROE

14.76

15.86

13.15

Net Margin

5.39

18.04

12.17

Current Ratio

1.33

1.35

1.24

Equity/Assets

44.76

53.97

19.49

-

34.68

62.99

Debt/Equity

OMR

Company

Beta

0.220 0.215

Auditors: KPMG

0.210

Email: napco@omantel.net.om

0.205

WebSite: www.omanalum.com

1,200,000 1,000,000 800,000 600,000 400,000 200,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

15.44%

7/1

Quarterly Income Data

Oman UAE Investment Holding Co.

OMR '000

National Investment Funds Co.

6/24

10.57% Ministry of Defence Pension Fund

10.00%

6,000 5,800 5,600 5,400 5,200 5,000 4,800 4,600 4,400 4,200 4,000 3,800 3,600 3,400 3,200 3,000 2,800 2,600 2,400 2,200 2,000 1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Q3/2011

Q2/2011

Q1/2011

Q3/2010

Q2/2010

Q1/2010

Others

63.99%

Sales

Gross Profit

Net Profit

3-Month Financial Data

Total Assets 20,000

31/03/2012

31/03/2011

Change %

OMR '000

Income Data (OMR '000) 16,000

Sales

12,000 8,000

4,084

5,154

-20.76

Gross Profit

515

838

-38.54

Gen Admin Expenses

245

219

11.87

334

-90.12

Net Profit

4,000

33

Balance Sheet Data (OMR '000) 0

2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Account Receivable

Owners Equity

Current Assets

Yearly Income Data 28,000

30.05 10.26

7,000

7,662

-8.64

11,521

11,684

-1.40

9,064

-4.17

8,686

Working Capital

2,835

2,620

8.21

16,442

17,078

-3.72

Total Liabilities

9,082

9,460

-4.00

20,000

Capital

3,357

3,357

0.00

16,000

Reserves

1,119

1,119

0.00

7,360

7,618

-3.39

24,000

OMR '000

436 3,586

Current Liabilities

Total Assets

32,000

567 3,954

12,000

Long Term Debts

8,000

Owners Equity

4,000 0 -4,000

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

1,602

-226

N/M

From Investing Activities

Cash Flow From Operating Activities

-138

-156

N/M

From Financing Activities

-1,784

364

N/M

-320

-18

N/M

Increase (Decrease) in Cash Net Cash Flow


National Pharmaceutical Industries Co.|Industrial Last Closing:

OMR

0.10 (02/07/2012)

Activities

52-Week High:

OMR

0.10 (13/07/2011)

Manufacturing of Pharmaceutical Products.

52-Week Low:

OMR

0.10 (13/07/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

0.00%

2.81%

-2.69%

1-Year

0.00%

0.82%

-4.98%

5-Year

545.16%

11.19%

-10.91%

OMR 5.00 Million

Paid Up Capital:

Daily Market Performance

50.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Ghazi O. Al Zubeidi

0.16

OMR 5.00 Million

Market Capitalization:

Market

GCC

24

80

614

0.03%

0.07%

0.00%

CEO::G . Sridhar

0.14

Board Members:

Khalifa S. Al Mohannadi Amal Bahwan Mukesh Sawhney Fahad S. Kunaimish Kunwar M. Ghazaly

0.12

Ratio Comparison: Sector

Market

0.01

1.02

1.00

P/E

4.44

10.26

11.59

P/B

0.90

1.63

1.51

P/R

0.75

1.83

1.43

D/Y

0.00

5.05

4.77

ROA

7.50

8.56

2.56

ROE

20.35

15.86

13.15

Net Margin

12.17

16.88

18.04

Current Ratio

1.97

1.35

1.24

Equity/Assets

36.88

53.97

19.49

Debt/Equity

77.81

34.68

62.99

OMR

Company

Beta

0.10 0.08

Auditors: Moore Stephens

0.06

Email: npico@omantel.net.om WebSite: www.npioman.com

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 2,000 1,800

OMR '000

1,600 1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Q3/2011

Sales

16,000

OMR '000

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

Change %

22.65

Income Data (OMR '000)

14,000 12,000

Sales

10,000 8,000 6,000 4,000 2,000

1,695

1,382

Gross Profit

471

289

62.98

Gen Admin Expenses

158

98

61.22

Net Profit

160

71

125.35

Cash

3,976

3,858

3.06

Inventories

1,588

1,870

-15.08

Account Receivable

3,817

2,579

48.00

Current Assets

9,830

8,579

14.58

3,996

24.95

Balance Sheet Data (OMR '000)

0 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

OMR '000

Q1/2011

3-Month Financial Data

Total Assets

(2,000)

Q2/2011

Current Liabilities

4,993

Working Capital

4,837

4,583

5.54

15,004

13,471

11.38 4.49

8,000

Total Assets

6,000

Total Liabilities

9,472

9,065

Capital

5,000

5,000

0.00

142

38

273.68

4,000

Reserves

2,000 0

Long Term Debts

4,305

4,920

-12.50

Owners Equity

5,533

4,406

25.58

-192

-368

N/M

-83

-39

N/M

301

282

6.74

25

-125

N/M

381

268

42.16

Cash Flow Data (OMR '000) -2,000

2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Sales

Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow


National Beverages Co. Ltd.|Industrial Last Closing:

OMR

5.00 (02/07/2012)

Activities

52-Week High:

OMR

5.00 (24/01/2012)

Manufacturing, bottling and marketing of carbonated drinks, mineral water and juices.

52-Week Low:

OMR

4.90 (21/08/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

0.00%

2.81%

-2.69%

1-Year

2.04%

0.82%

-4.98%

5-Year

66.66%

11.19%

-10.91%

OMR 0.56 Million

Paid Up Capital:

Daily Market Performance

0.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Kamal M. Daud

8

OMR 2.82 Million

Market Capitalization:

Market

GCC

33

94

631

0.02%

0.04%

0.00%

CEO::Ashish K. Sethi

7

Board Members:

Nabil K. Daud Sami K. Daud Riyadh K. Daud

6

Ratio Comparison: Sector

Market

-0.01

1.02

1.00

-31.99

10.26

11.59

P/B

0.34

1.63

1.51

P/R

0.00

1.83

1.43

D/Y

0.00

5.05

4.77

ROA

-0.76

8.56

2.56

ROE

-1.05

15.86

13.15

-

18.04

12.17

P/E

Net Margin Current Ratio

0.01

1.35

1.24

Equity/Assets

72.45

53.97

19.49

-

34.68

62.99

Debt/Equity

OMR

Company

Beta

5

Auditors: KPMG

4

Email: nbcoman@omantel.net.om

3

WebSite:

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data

OMR '000

150

-50

Q1/2012

Q4/2011

Q3/2011

Sales

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

4

12

-66.67

-4

-13

N/M

4

4

0.00

Account Receivable

21

55

-61.82

Current Assets

27

81

-66.67 1.09

12,000

OMR '000

Income Data (OMR '000) 10,000

Sales

8,000

Gross Profit

6,000

Gen Admin Expenses

4,000

Net Profit

2,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Owners Equity

Current Liabilities

Yearly Income Data 2,000 1,500

OMR '000

3,030

-3,036

-2,949

N/M

Total Assets

11,531

7,586

52.00

3,177

3,144

1.05

563

563

0.00

11,666

7,666

52.18

8,354

4,443

88.03

Total Liabilities

1,000

Capital

500 0

Reserves

-500

Long Term Debts

-1,000

Owners Equity

-1,500 -2,000 -2,500

3,063

Working Capital

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Sales

Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow


National Biscuit Industries Co.|Industrial Last Closing:

OMR

3.78 (02/07/2012)

Activities

52-Week High:

OMR

4.20 (13/07/2011)

The company is engaged in manufacturing and marketing of Biscuits, Wafers, and Snack food.

52-Week Low:

OMR

3.78 (28/02/2012)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

0.00%

2.81%

-2.69%

1-Year

-10.00%

0.82%

-4.98%

5-Year

80.00%

11.19%

-10.91%

OMR 1.00 Million

Paid Up Capital:

Daily Market Performance

1.00 Million

Outstanding Shares:

Sector Rank Share

Market

29

86

622

0.05%

0.00%

Market

1.02

1.00

P/E

19.89

10.26

11.59

P/B

1.63

1.63

1.51

P/R

0.30

1.83

1.43

D/Y

1.32

5.05

4.77

ROA

2.61

8.56

2.56

ROE

8.20

15.86

13.15

Net Margin

1.51

18.04

12.17

Current Ratio

1.04

1.35

1.24

Equity/Assets

31.85

53.97

19.49

Debt/Equity

23.58

34.68

62.99

Deepak Atal K.P. Karnik Faisal Allana Arun Agarwala

4

OMR

Sector

-0.02

Board Members:

5 4.5

Ratio Comparison: Beta

CEO::Rahul Shinde

5.5

GCC

0.02%

Company

Chairman: Abdulmehdi Abdulbaqi

6

OMR 3.78 Million

Market Capitalization:

3.5

Auditors: Moore Stephens

3 2.5

Email: nabil@omantel.net.om

2

WebSite: www.nabilbiscuits.com

3,200 2,800 2,400 2,000 1,600 1,200 800 400 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

OMR '000

Quarterly Income Data 3,700 3,500 3,300 3,100 2,900 2,700 2,500 2,300 2,100 1,900 1,700 1,500 1,300 1,100 900 700 500 300 100 -100 -300 -500

Q1/2012

Q4/2011

Q3/2011

Sales

8,000

OMR '000

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

7,000 6,000

Sales

3,543

2,896

22.34

5,000

Gross Profit

719

349

106.02

3,000

Gen Admin Expenses

126

104

21.15

2,000

Net Profit

124

34

264.71

4,000

1,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

154

283

-45.58

Inventories

1,282

766

67.36

Account Receivable

2,818

2,108

33.68

Current Assets

4,255

3,156

34.82

Current Liabilities

Yearly Income Data

OMR '000

7/1

Working Capital

3,151

30.24

151

4,104

5

2,920.00

12,000

Total Assets

7,272

6,532

11.33

10,000

Total Liabilities

4,944

4,347

13.73

8,000

Capital

1,000

1,000

0.00

6,000

Reserves

367

367

0.00

Long Term Debts

4,000

Owners Equity

2,000 0

546

890

-38.65

2,316

2,167

6.88

49

468

-89.53

-16

-25

N/M

-442

N/M

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Sales

Gross Profit Net Profit

From Financing Activities

-83

Increase (Decrease) in Cash

-50

Net Cash Flow


The National Detergent Co.|Industrial Last Closing:

OMR

0.90 (02/07/2012)

Activities

52-Week High:

OMR

0.90 (06/05/2012)

Manufacturing and marketing of detergents.

52-Week Low:

OMR

0.84 (13/07/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

5.65%

2.81%

-2.69%

1-Year

7.42%

0.82%

-4.98%

5-Year

348.50%

11.19%

-10.91%

OMR 1.70 Million

Paid Up Capital:

Daily Market Performance

17.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Abdulhusein B. S. Al Lawati

1.4

OMR 15.31 Million

Market Capitalization:

Market

GCC

13

54

538

0.09%

0.22%

0.01%

1.2

Board Members:

0.8

Mohammed A. B. Al Lawati Anwar A. Sultan Mahdi Abdulbaqi V. Venkataraman V. Sundaresan Rajiv Dhar

0.6

Auditors: PricewaterhouseCoopers

1

Ratio Comparison: Sector

Market

0.04

1.02

1.00

P/E

19.00

10.26

11.59

P/B

1.18

1.63

1.51

P/R

0.72

1.83

1.43

D/Y

4.46

5.05

4.77

ROA

3.39

8.56

2.56

ROE

6.20

15.86

13.15

Net Margin

3.79

18.04

12.17

Current Ratio

1.60

1.35

1.24

Equity/Assets

54.76

53.97

19.49

Debt/Equity

22.23

34.68

62.99

OMR

Company

Beta

Email: ndcoman@omantel.net.om WebSite: www.ndcoman.com

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 7,000

19.90%

OMR '000

6,000

Omar A. Al Zawawi

Bhacker S. Jaffer Co.

13.70%

Abdulhusein B. Al Lawati

10.10%

5,000 4,000 3,000 2,000

Oman International Development & Investment Co.

1,000

20.90%

0

Q1/2012

Q4/2011

Q3/2011

Q2/2011

Q1/2011

Q3/2010

Q2/2010

Q1/2010

Others

35.40%

Sales

Gross Profit

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Sales

6,334

5,702

11.08

Gross Profit

1,338

1,466

-8.73

233

216

7.87

282

455

-38.02

Cash

1,208

1,003

20.44

Inventories

2,635

1,905

38.32

6,328

4,909

28.91

10,171

7,818

30.10

4,122

53.98

24,000

OMR '000

Income Data (OMR '000) 20,000 16,000 12,000

Gen Admin Expenses

8,000

Net Profit

4,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Account Receivable

Owners Equity

Current Assets Current Liabilities

6,347

Working Capital

3,824

3,696

3.46

Total Assets

23,656

18,625

27.01

20,000

Total Liabilities

10,703

5,624

90.31

16,000

Capital

1,701

1,701

0.00

12,000

Reserves

7,796

7,796

0.00

Yearly Income Data

OMR '000

24,000

Long Term Debts

8,000

Owners Equity

4,000 0

2,879

60

4,698.33

12,953

13,000

-0.36

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

-662

-684

N/M

From Investing Activities

-89

-82

N/M

From Financing Activities

477

-23

N/M

-274

-789

N/M

502

638

-21.32

Increase (Decrease) in Cash Net Cash Flow


National Gas Co.|Industrial Last Closing:

OMR

0.53 (02/07/2012)

Activities

52-Week High:

OMR

0.60 (04/03/2012)

Filling and Distribution of Liquefied Petroleum Gas.

52-Week Low:

OMR

0.46 (13/07/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

-3.64%

2.81%

-2.69%

1-Year

15.21%

0.82%

-4.98%

5-Year

201.13%

11.19%

-10.91%

OMR 2.50 Million

Paid Up Capital:

Daily Market Performance

25.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Khaled A. S. Al Hosni

0.552

OMR 13.25 Million

Market Capitalization:

Market

GCC

15

60

557

0.08%

0.19%

0.00%

0.548

Board Members:

Abdullah S. H. Al Harthi Dr.Rashid M. J. Al Ghailani Khalid S. S. Al Wahaibi Hamdan A. H. Al Farsi

0.544

Ratio Comparison: Sector

Market

0.29

1.02

1.00

P/E

10.64

10.26

11.59

P/B

1.70

1.63

1.51

P/R

0.70

1.83

1.43

D/Y

4.98

5.05

4.77

ROA

11.23

8.56

2.56

ROE

16.00

15.86

13.15

6.55

18.04

12.17

Net Margin Current Ratio

1.61

1.35

1.24

Equity/Assets

70.20

53.97

19.49

-

34.68

62.99

Debt/Equity

OMR

Company

Beta

0.540

Auditors: Ernst & Young

0.536

Email: natgas@omantel.net.om

0.532

WebSite:

6,000 5,000 4,000 3,000 2,000 1,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

OMR '000

Quarterly Income Data 6,000 5,800 5,600 5,400 5,200 5,000 4,800 4,600 4,400 4,200 4,000 3,800 3,600 3,400 3,200 3,000 2,800 2,600 2,400 2,200 2,000 1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Q3/2011

Sales

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 12,000

31/03/2012

31/03/2011

Change %

4.60

OMR '000

Income Data (OMR '000) 10,000

Sales

8,000 6,000 4,000 2,000 0

4,126

560

556

0.72

Gen Admin Expenses

258

192

34.38

Net Profit

326

373

-12.60

Cash

752

1,199

-37.28

Inventories

416

507

-17.95

Account Receivable

3,083

2,844

8.40

Current Assets

4,438

4,645

-4.46

Current Liabilities

2,754

3,196

-13.83

Working Capital

1,684

1,449

16.22

11,074

11,619

-4.69

3,240

3,346

-3.17

Capital

2,500

2,500

0.00

Reserves

3,605

4,114

-12.37

7,774

8,201

-5.21

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

OMR '000

4,316

Gross Profit

20,000

Total Assets

16,000

Total Liabilities

12,000

Long Term Debts

8,000

Owners Equity

4,000

Cash Flow Data (OMR '000) 0

2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

452

510

-11.37

From Investing Activities

-177

-198

N/M

From Financing Activities

-1,003

-665

N/M

-727

-353

N/M

Increase (Decrease) in Cash Net Cash Flow


National Mineral Water Co.|Industrial Last Closing:

OMR

0.05 (02/07/2012)

Activities

52-Week High:

OMR

0.07 (10/04/2012)

Bottling and distribution of Mineral Water.

52-Week Low:

OMR

0.04 (25/12/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

1.96%

-3.37%

-2.31%

3-Month

-18.75%

2.81%

-2.69%

1-Year

-21.22%

0.82%

-4.98%

5-Year

-53.20%

11.19%

-10.91%

OMR 2.01 Million

Paid Up Capital:

Daily Market Performance

20.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Aflah H. S. Al Rawahy

0.0532

OMR 1.01 Million

Market Capitalization:

Market

GCC

41

106

644

0.01%

0.02%

0.00%

0.0528 Board Members:

0.0524

Khalid H. H. Al Busaidi Mahmood N. Al Mahrezy Ahmed S. S. Al Ibrahim Faisal S. H. Al Busaidi Glenn F De'Silva Raffy Kozajian Saibal Sen David Crickmore

0.0520 Company

Sector

Market

Beta

0.78

1.02

1.00

P/E

-0.81

10.26

11.59

P/B

7.54

1.63

1.51

P/R

0.13

1.83

1.43

D/Y

9.62

5.05

4.77

ROA

-11.66

8.56

2.56

ROE

-942.03

15.86

13.15

-16.10

18.04

12.17

0.85

1.35

1.24

1.24

53.97

19.49

200.00

34.68

62.99

Net Margin Current Ratio Equity/Assets Debt/Equity

0.0516

OMR

Ratio Comparison:

0.0512 0.0508

Auditors: KPMG

0.0504

Email: tanuf@omantel.net.om

70,000 60,000 50,000 40,000 30,000 20,000 10,000 0

WebSite: www.tanufwater.com

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

OMR '000

Quarterly Income Data 3,300 3,100 2,900 2,700 2,500 2,300 2,100 1,900 1,700 1,500 1,300 1,100 900 700 500 300 100 -100 -300 -500

Q1/2012

Q4/2011

Q3/2011

Sales

14,000

OMR '000

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

12,000

1,925

2,105

-8.55

8,000

Sales Gross Profit

375

295

27.12

6,000

Gen Admin Expenses

167

161

3.73

4,000

Net Profit

-265

-290

N/M

10,000

2,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data 12,000 10,000

OMR '000

7/1

Cash

141

174

-18.97

Inventories

1,059

1,322

-19.89

Account Receivable

2,104

1,888

11.44

Current Assets

9,201

9,724

-5.38

9,264

16.54

Current Liabilities

10,796

Working Capital

-1,595

460

N/M

Total Assets

11,151

11,514

-3.15

Total Liabilities

11,412

9,927

14.96

2,013

2,013

0.00

560

560

0.00

8,000

Capital

6,000

Reserves

4,000

Long Term Debts

276

366

-24.59

2,000

Owners Equity

138

1,438

-90.40

Cash Flow From Operating Activities

-244

-511

N/M

From Investing Activities

-103

-14

N/M

From Financing Activities

-23

161

N/M

-364

N/M

0 -2,000

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Increase (Decrease) in Cash Net Cash Flow

-370


Oman Foods International|Industrial Last Closing:

OMR

0.14 (02/07/2012)

Activities

52-Week High:

OMR

0.15 (05/04/2012)

Importing, Processing and marketing of rice domestically and internationally.

52-Week Low:

OMR

0.12 (21/08/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73% -2.31%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

3-Month

0.71%

2.81%

-2.69%

1-Year

15.57%

0.82%

-4.98%

5-Year

41.00%

11.19%

-10.91%

OMR 6.20 Million

Paid Up Capital:

Daily Market Performance

6.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Mirdas A. Al Harithy

0.22

OMR 0.87 Million

Market Capitalization:

Market

GCC

42

108

646

0.01%

0.01%

0.00%

0.20 Board Members:

0.18

Hamed N. Al Bortmani Imad S. H. Al Harthy S.Sarathy R. Srinivasan Mardas A. Al Harthy Malallah A. Y. Al Zadjali

0.16

Ratio Comparison: Sector

Market

0.05

1.02

1.00

P/E

-2.65

10.26

11.59

P/B

0.68

1.63

1.51

P/R

0.13

1.83

1.43

D/Y

0.00

5.05

4.77

ROA

-10.10

8.56

2.56

ROE

-25.70

15.86

13.15 12.17

Net Margin

-4.96

18.04

Current Ratio

1.13

1.35

1.24

Equity/Assets

39.29

53.97

19.49

Debt/Equity

35.05

34.68

62.99

OMR

Company

Beta

0.14 0.12

Auditors: KPMG

0.10 0.08

Email: nrmrice@omantel.net.om WebSite:

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 2,200 2,000

OMR '000

1,800 1,600 1,400 1,200 1,000 800 600 400 200 0 -200 -400

Q1/2012

Q4/2011

Q3/2011

Sales

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

1,149

1,722

-33.28

79

96

-17.71

Gen Admin Expenses

149

152

-1.97

Net Profit

-62

-55

N/M

6,000

OMR '000

Income Data (OMR '000) 5,000

Sales

4,000

Gross Profit

3,000 2,000 1,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

OMR '000

Yearly Income Data

Cash

1,287

Inventories

788

1,174

-32.88

Account Receivable

834

366

127.87

Current Assets

1,730

2,999

-42.31

Current Liabilities

1,534

2,321

-33.91

196

678

-71.09

Working Capital

12,000

Total Assets

3,268

4,564

-28.40

10,000

Total Liabilities

1,984

3,021

-34.33

8,000

Capital

6,200

6,200

0.00

6,000

Reserves

261

190

37.37

4,000

Long Term Debts

2,000

Owners Equity

0 -2,000

450

700

-35.71

1,284

1,543

-16.79

-463

604

N/M

-463

603

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Sales

Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow

-1 N/M


Oman Cables Industry Co.|Industrial Last Closing:

OMR

0.82 (02/07/2012)

Activities

52-Week High:

OMR

0.92 (07/07/2011)

The company is engaged in manufacturing and selling of electric wires and cables.

52-Week Low:

OMR

0.66 (29/11/2011)

Price Performance: Company

Sector

Market

0.00%

-0.39%

-0.70%

1-Week

0.61%

-0.54%

-0.73%

1-Month

-2.27%

-3.37%

-2.31%

3-Month

7.89%

2.81%

-2.69%

1-Year

-10.29%

0.82%

-4.98%

5-Year

-43.65%

11.19%

-10.91%

1-Day

OMR 8.97 Million

Paid Up Capital:

Daily Market Performance

89.00 Million

Outstanding Shares:

Sector

Share

Market

GCC

6

23

316

0.43%

1.06%

0.03%

Rank

Chairman: Mustafa M. A. Al Lawati

0.840

OMR 73.55 Million

Market Capitalization:

CEO::CJ (Hans) Meiring

0.836

Managing Director :Hussain S. Ghulam Board Members:

0.832

Maqbool A. S. Al Lawati Mohammad Shihab Christian F Raskin Saleem Rabbani Hilal H. A. Al Hosni

0.828

Ratio Comparison: Sector

Market

1.38

1.02

1.00

P/E

9.76

10.26

11.59

P/B

1.56

1.63

1.51

P/R

0.27

1.83

1.43

D/Y

4.88

5.05

4.77

ROA

5.65

8.56

2.56

ROE

15.94

15.86

13.15

Net Margin

2.81

18.04

12.17

Current Ratio

1.30

1.35

1.24

Equity/Assets

35.42

53.97

19.49

Debt/Equity

18.91

34.68

62.99

OMR

Company

Beta

0.824 0.820

Auditors: Ernst & Young

0.816

Email: omancabl@omantel.net

0.812

WebSite: www.omancables.com

180,000 160,000 140,000 120,000 100,000 80,000 60,000 40,000 20,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 80,000 70,000

OMR '000

Mustafa M. A. Al Lawati

12.54% Draka Holding Group

Husein S. G. Al Lawati

34.78%

12.19%

60,000 50,000 40,000 30,000 20,000 10,000 0

Q1/2012

Q4/2011

Others

Sales

40.49%

140,000

OMR '000

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

120,000

65,843

69,771

-5.63

Gross Profit

Sales

4,523

3,279

37.94

60,000

Gen Admin Expenses

1,115

975

14.36

40,000

Net Profit

1,049

62.82

100,000 80,000

20,000 0

1,708

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

Cash

751

3,978

-81.12

Inventories

35,613

46,779

-23.87

Account Receivable

57,394

60,751

-5.53

Current Assets

95,712

111,508

-14.17

Current Liabilities

73,561

90,625

-18.83

Working Capital

22,151

20,883

6.07

133,435

147,264

-9.39 -17.96

320,000

Total Assets

280,000

Total Liabilities

83,416

101,675

Capital

8,970

8,970

0.00

160,000

Reserves

6,343

5,610

13.07

120,000

Long Term Debts

240,000

OMR '000

Q3/2011

200,000

Owners Equity

80,000 40,000 0

8,938

10,247

-12.77

47,261

43,792

7.92

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

4,488

-9,618

N/M

From Investing Activities

Cash Flow From Operating Activities

-766

-852

N/M

From Financing Activities

-5,071

9,560

N/M

Increase (Decrease) in Cash

-1,567

-4,498

N/M

Net Cash Flow


Oman Cement Co.|Industrial Last Closing:

OMR

0.64 (02/07/2012)

Activities

52-Week High:

OMR

0.70 (02/05/2012)

The company is engaged in manufacturing and marketing of cement.

52-Week Low:

OMR

0.41 (31/01/2012)

Price Performance: Company

1-Day

Sector

Market

-0.78%

-0.39%

-0.70% -0.73%

-2.30%

-0.54%

1-Month

-5.77%

-3.37%

-2.31%

3-Month

13.72%

2.81%

-2.69%

1-Year

13.92%

0.82%

-4.98%

5-Year

8.13%

11.19%

-10.91%

1-Week

OMR 33.09 Million

Paid Up Capital:

Daily Market Performance

330.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Abdullah A. Ahmed

0.69

OMR 211.76 Million

Market Capitalization:

Market

GCC

2

9

165

1.22%

3.06%

0.08%

CEO::Jamal S. Al Hooti

0.68

Board Members:

Mohammad S. Al-Humaidi Ali M. R. Jaffer Mohammed S. M. Al Kindi Hamdan M. S. Al-Wahaibi Eng. Najeeb A. M. Al Khonji Mubarak S. Al-Mantheri

0.67

Ratio Comparison: Sector

Market

1.01

1.02

1.00

P/E

15.30

10.26

11.59

P/B

1.47

1.63

1.51

P/R

4.30

1.83

1.43

D/Y

4.70

5.05

4.78

ROA

7.97

8.56

2.56

ROE

9.60

15.86

13.15 12.17

Net Margin

28.11

18.04

Current Ratio

3.10

1.35

1.24

Equity/Assets

82.94

53.97

19.49

7.59

34.68

62.99

Debt/Equity

OMR

Company

Beta

0.66 0.65

Auditors: Deloitte & Touche

0.64

Email: omancmnt@omantel.net.com WebSite: www.omancement.com

500,000 450,000 400,000 350,000 300,000 250,000 200,000 150,000 100,000 50,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 16,000 14,000

OMR '000

Oman's Ministry of Finance

20.60% Others

11.76% Public Authority for Social Insurance

12,000 10,000 8,000 6,000

5.35% Oman's Ministry of Commerce & Industry

4,000

30.40%

2,000 0

Q1/2012

Pension Funds & Other Funds

Q4/2011

31.89%

Sales

180,000

OMR '000

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

13,965

12,860

8.59

5,603

4,741

18.18

936

742

26.15

5,144

4,151

23.92

Change %

Income Data (OMR '000)

160,000 140,000

Sales

120,000

Gross Profit

100,000 80,000

Gen Admin Expenses

60,000

Net Profit

40,000

Balance Sheet Data (OMR '000)

20,000 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

OMR '000

Q2/2011

3-Month Financial Data

Total Assets

0

Q3/2011

3,325

1,907

74.36

Inventories

Cash

13,515

9,850

37.21

Account Receivable

10,903

6,842

59.35

Current Assets

41,069

24,410

68.25

Current Liabilities

13,252

12,149

9.08

Working Capital

27,817

12,261

126.87

70,000

Total Assets

173,141

166,711

3.86

60,000

Total Liabilities

29,534

26,700

10.61

50,000

Capital

33,087

33,087

0.00

40,000

Reserves

35,007

35,278

-0.77

30,000

Long Term Debts

20,000

Owners Equity

10,000 0

10,900

9,307

17.12

143,607

140,011

2.57

Cash Flow From Operating Activities

1,395

1,324

5.36

From Investing Activities

3,679

5,244

-29.84

From Financing Activities

-4,725

-7,835

N/M

348

-1,267

N/M

6,385

4,959

28.76

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Increase (Decrease) in Cash Net Cash Flow


Oman Ceramics Co.|Industrial Last Closing:

OMR

0.75 (02/07/2012)

Activities

52-Week High:

OMR

0.75 (13/07/2011)

The company is engaged in manufacturing of ceramic and sanitaryware.

52-Week Low:

OMR

0.75 (21/08/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

0.00%

2.81%

-2.69%

1-Year

0.00%

0.82%

-4.98%

5-Year

-5.92%

11.19%

-10.91%

OMR 1.89 Million

Paid Up Capital:

Daily Market Performance

1.00 Million

Outstanding Shares:

Sector Rank Share

Market

38

103

641

0.01%

0.02%

0.00%

Sector

1.02

1.00

P/E

13.10

10.26

11.59

P/B

1.91

1.63

1.51

P/R

0.36

1.83

1.43

D/Y

0.00

5.05

4.78

ROA

1.99

8.56

2.56

ROE

14.57

15.86

13.15

Net Margin

2.78

18.04

12.17

Current Ratio

2.18

1.35

1.24

Equity/Assets

13.64

53.97

19.49

473.55

34.68

62.99

Debt/Equity

Abdulqader D. Al Balushi Mukesh Sawhney Abdullah Z. Al Hinai Rajan Paul Tushar Vaidya

0.8

Market

0.00

Board Members:

1 0.9

OMR

Company

CEO::Vish Natrajan

1.1

GCC

Ratio Comparison: Beta

Chairman: Amal S. Bahwan

1.2

OMR 1.42 Million

Market Capitalization:

0.7 0.6

Auditors: Deloitte & Touche

0.5

Email: oman_ceramics@yahoo.com

0.4

WebSite:

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,200

OMR '000

1,000 800 600 400 200 0 -200

Q1/2012

Q4/2011

Q3/2011

Sales

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 6,000

31/03/2012

31/03/2011

Change %

24.39

OMR '000

Income Data (OMR '000) 5,000

Sales

4,000 3,000 2,000

339

6.19

Gen Admin Expenses

236

211

11.85

31

39

-20.51

Balance Sheet Data (OMR '000)

31

22

40.91

Inventories

1,000

759

31.75

Account Receivable

1,026

822

24.82

Current Assets

2,314

1,807

28.06

Current Liabilities

1,061

889

19.35

Working Capital

1,253

918

36.49

Total Assets

5,433

5,031

7.99

Total Liabilities

4,692

4,397

6.71

2,500

Capital

1,892

1,892

0.00

2,000

Reserves

54

42

28.57

3,509

3,409

2.93

741

633

17.06

2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data 4,000 3,500 3,000

OMR '000

861

360

Net Profit

1,000 0

1,071

Gross Profit

1,500

Long Term Debts

1,000

Owners Equity

500 0 -500

Cash

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

98

79

24.05

From Investing Activities

-17

-24

N/M

From Financing Activities

-61

-47

N/M

9

122.22

Increase (Decrease) in Cash Net Cash Flow

20


Oman Chlorine Co.|Industrial Last Closing:

OMR

0.50 (02/07/2012)

Activities

52-Week High:

OMR

0.50 (08/05/2012)

52-Week Low:

OMR

0.34 (22/08/2011)

The company is engaged in production of water clorine and other chemical products, in addition to imports, exports and commercial representation.

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73% -2.31%

1-Week

0.00%

-0.54%

1-Month

1.02%

-3.37%

3-Month

7.14%

2.81%

-2.69%

1-Year

43.89%

0.82%

-4.98%

5-Year

37.84%

11.19%

-10.91%

OMR 6.18 Million

Paid Up Capital:

Daily Market Performance

61.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

10

37

449

0.18%

0.44%

0.01%

Ratio Comparison: Sector

1.02

1.00

P/E

10.78

10.26

11.59

P/B

2.01

1.63

1.51

P/R

4.34

1.83

1.43

D/Y

5.05

5.05

4.78

ROA

17.04

8.56

2.56

ROE

18.64

15.86

13.15

Net Margin

40.26

18.04

12.17

Current Ratio

6.74

1.35

1.24

Equity/Assets

91.43

53.97

19.49

-

34.68

62.99

Debt/Equity

0.498

Board Members:

0.496

Walid M. Azhari Abdullah N. Al Amri Ali M. Yousuf Behram Divecha

Market

0.69

OMR

Company

Beta

Chairman: Sulaiman M. Al Yahyai

0.500

OMR 30.89 Million

Market Capitalization:

0.494

Auditors: Delloite & Touche

0.492

Email: omancl2@omantel.net.om WebSite: www.omanchlorine.com

180,000 160,000 140,000 120,000 100,000 80,000 60,000 40,000 20,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 2,000 1,800

Oman Holding international Co.

1,600

OMR '000

National Insurance Co. 10.72%

10.21% National Trading Co. 7.04% Civil Service Employees Pension Fund

1,400 1,200 1,000

6.68%

800 600 400 200 0

Q1/2012

Q4/2011

Q3/2011

Q2/2011

Q1/2011

Q3/2010

Q2/2010

Q1/2010

Others

65.34%

Sales

31/03/2012

31/03/2011

Sales

1,742

1,459

19.40

Gross Profit

1,297

1,034

25.44

Gen Admin Expenses

200

166

20.48

Net Profit

731

548

33.39

1,436

2,419

-40.64

878

748

17.38

Account Receivable

1,674

1,765

-5.16

Current Assets

4,738

4,932

-3.93

18,000

OMR '000

Change %

Income Data (OMR '000)

16,000 14,000 12,000 10,000 8,000 6,000 4,000

Balance Sheet Data (OMR '000)

2,000 2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Owners Equity

Current Liabilities

Yearly Income Data

OMR '000

Net Profit

3-Month Financial Data

Total Assets

0

Gross Profit

Working Capital

1,107

-36.50

4,035

3,825

5.49

16,629

16,195

2.68 -37.50

703

7,000

Total Assets

6,000

Total Liabilities

1,425

2,280

5,000

Capital

6,177

6,177

0.00

4,000

Reserves

2,020

1,705

18.48

3,000

Long Term Debts

2,000

Owners Equity

15,204

13,915

9.26

332

-764

N/M

From Financing Activities

-1,544

-730

N/M

Increase (Decrease) in Cash

-1,212

-1,494

N/M

939

719

30.60

1,000 0

450

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Sales

Gross Profit Net Profit

Net Cash Flow


Oman Chromite Co.|Industrial Last Closing:

OMR

3.65 (02/07/2012)

Activities

52-Week High:

OMR

3.80 (11/03/2012)

Exploration, manufacturing and marketing of raw chromium.

52-Week Low:

OMR

3.50 (03/11/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73% -2.31%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

3-Month

0.00%

2.81%

-2.69%

1-Year

-2.59%

0.82%

-4.98%

5-Year

151.72%

11.19%

-10.91%

OMR 3.00 Million

Paid Up Capital:

Daily Market Performance

3.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Ibrahim M. Al Balushi

5.5

OMR 10.95 Million

Market Capitalization:

Market

GCC

19

66

572

0.06%

0.16%

0.00%

5 Board Members:

4.5

Mubarak S. Al Mantheri Ibrahim A. Al Asfoor Rashed H. R. Al Hajri Ali S. Al Waeli

4

Ratio Comparison: Sector

Market

0.00

1.02

1.00

P/E

43.30

10.26

11.59

P/B

2.66

1.63

1.51

P/R

6.65

1.83

1.43

D/Y

5.48

5.05

4.78

ROA

5.16

8.56

2.56

6.13

15.86

13.15

15.36

18.04

12.17

ROE Net Margin Current Ratio

5.48

1.35

1.24

Equity/Assets

84.15

53.97

19.49

-

34.68

62.99

Debt/Equity

OMR

Company

Beta

3.5

Auditors: Deloitte & Touche

3 2.5

Email: omchromc@omantel.net.com

2

WebSite: www.omanchromite.com

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,000

Oman's Ministry of Commerce & Industry

OMR '000

800

15.00%

Al Qurum Est.

10.00%

Financial Services Co.

Oman Mining Co.

19.80%

10.00%

600

400

200

0

-200

Q1/2012

Q4/2011

Others

Q3/2011

Sales

45.20%

Q2/2011

Q1/2011

Gross Profit

Q4/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Sales

263

890

-70.45

Gross Profit

226

691

-67.29

89

58

53.45

15

382

-96.07

-33.61

6,000

OMR '000

Income Data (OMR '000) 5,000 4,000 3,000

Gen Admin Expenses

2,000

Net Profit

1,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Account Receivable

Owners Equity

Current Assets Current Liabilities

952 615

84.07

152

82

85.37

3,899

4,073

-4.27

711

706

0.71

Working Capital

3,188

3,367

-5.32

2,400

Total Assets

4,901

5,278

-7.14

2,000

Total Liabilities

778

767

1.43

1,600

Capital

3,000

3,000

0.00

1,200

Reserves

480

459

4.58

4,124

4,511

-8.58

-250

643

N/M

768

39

1,869.23

Increase (Decrease) in Cash

518

682

-24.05

Net Cash Flow

153

558

-72.58

Yearly Income Data

OMR '000

632 1,132

Long Term Debts

800

Owners Equity

400 0

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Sales

Gross Profit Net Profit

From Financing Activities


Oman Fiber Optic Co.|Industrial Last Closing:

OMR

2.76 (02/07/2012)

Activities

52-Week High:

OMR

2.77 (01/04/2012)

The company is engaged in manufacturing and designing of optical fibers and optical fiber cables.

52-Week Low:

OMR

2.54 (13/07/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

-0.41%

2.81%

-2.69%

1-Year

8.76%

0.82%

-4.98%

5-Year

44.15%

11.19%

-10.91%

OMR 4.74 Million

Paid Up Capital:

Daily Market Performance

4.00 Million

Outstanding Shares:

Sector

Share

Market

GCC

17

62

559

0.08%

0.19%

0.00%

Rank

Chairman: Mohamad A. Al Wohaibi

4.4

OMR 13.09 Million

Market Capitalization:

4 Board Members:

3.6

Hani Al Shakhs Talal S. Al Mamari Awad M. F. Bamkhalef Mohsin H. Al Raisi Ismail N. M. Mansouri Muhammad H. Al Dheeb Sanjay Kundalkar Hamood A. M. Al Alawi Eng. Sami A. A. Al Ghassany

3.2

Ratio Comparison: Sector

Market

0.17

1.02

1.00

P/E

5.59

10.26

11.59

P/B

1.34

1.63

1.51

P/R

2.03

1.83

1.43

D/Y

8.36

5.05

4.78

ROA

15.12

8.56

2.56

ROE

23.90

15.86

13.15

Net Margin

36.24

18.04

12.17

Current Ratio

2.28

1.35

1.24

Equity/Assets

63.26

53.97

19.49

-

34.68

62.99

Debt/Equity

OMR

Company

Beta

2.8 2.4 2 1.6

Auditors: PricewaterhouseCoopers

6 4 2 0 -2 -4 -6

Email: ofoco@omantel.net.om WebSite: www.omanfiber.com

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 8,000

Oman & Emirates Investment Holding Co.

OMR '000

6,000

15.60% Omar A. Al Zawawi

21.50%

Others

11.90%

4,000 2,000 0 -2,000 -4,000

Oman Telecommunications Co.

Gulf Investment Corp.

25.00%

-6,000

Q1/2012

Q4/2011

Q3/2011

Sales

Q2/2010

Q1/2010

Gross Profit

Net Profit

31/03/2011

Change %

Sales

4,691

3,363

39.49

Gross Profit

1,195

1,100

8.64

Gen Admin Expenses

558

454

22.91

Net Profit

461

476

-3.15

-45.86

Income Data (OMR '000)

16,000

OMR '000

Q3/2010

31/03/2012

18,000

14,000 12,000 10,000 8,000 6,000 4,000

Balance Sheet Data (OMR '000)

2,000 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

445

822

Inventories

3,926

2,939

33.58

Account Receivable

6,167

4,781

28.99

Current Assets

Yearly Income Data

OMR '000

Q1/2011

3-Month Financial Data

Total Assets

0

Q2/2011

26.00%

12,695

10,142

25.17

Current Liabilities

5,576

3,879

43.75

Working Capital

7,119

6,263

13.67

15,496

12,920

19.94

5,693

4,365

30.42

12,000

Total Assets

10,000

Total Liabilities

8,000

Capital

4,744

3,649

30.01

6,000

Reserves

1,216

1,127

7.90

9,803

8,555

14.59

1,472

448

228.57

-35

-26

N/M

-242

1,085

N/M

100

412

-75.73

Long Term Debts

4,000

Owners Equity

2,000 0

375

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Sales

Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow


Oman Filters Industry Co.|Industrial Last Closing:

OMR

0.04 (02/07/2012)

Activities

52-Week High:

OMR

0.04 (29/05/2012)

The company is engaged in manufacturing of automobile oil and air filters.

52-Week Low:

OMR

0.03 (13/07/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

16.66%

2.81%

-2.69%

1-Year

20.68%

0.82%

-4.98%

5-Year

0.28%

11.19%

-10.91%

OMR 2.00 Million

Paid Up Capital:

Daily Market Performance

20.00 Million

Outstanding Shares:

Sector Rank Share

Market

43

109

647

0.01%

0.00%

Ratio Comparison: 1.02

1.00

P/E

-1.41

10.26

11.59

P/B

7.45

1.63

1.51

P/R

1.34

1.83

1.43

D/Y

0.00

5.05

4.78

ROA

-41.35

8.56

2.56

ROE

-528.72

15.86

13.15

-94.85

18.04

12.17

Current Ratio

1.26

1.35

1.24

Equity/Assets

7.82

53.97

19.49

536.17

34.68

62.99

Debt/Equity

0.034

Board Members:

0.033

Milind Bhagwat Nazeer Al Rae Jalal H. Al Qaisi Nabil I. Al Hosani

Market

0.13

OMR

Sector

Beta

Net Margin

CEO::A. S. Subbaraman

GCC

0.00%

Company

Chairman: Ali H. Al Hassani

0.035

OMR 0.80 Million

Market Capitalization:

0.032

Auditors: BDO Jawad Habib

0.031

Email: omanfltr@omantel.net.om WebSite: www.omanfilters.com

32 28 24 20 16 12 8 4 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 700

OMR '000

500

300

100

-100

-300

Q1/2012

Q4/2011

Q3/2011

Sales

2,800

OMR '000

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

41.56

Income Data (OMR '000)

2,400 2,000

Sales

218

154

1,600

Gross Profit

-32

-19

N/M

1,200

Gen Admin Expenses

38

33

15.15

-81

-52

N/M

800

Net Profit

400 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

OMR '000

Q2/2011

Cash

12

9

33.33

Inventories

510

917

-44.38

Account Receivable

124

132

-6.06

Current Assets

719

1,135

-36.65

Current Liabilities

569

503

13.12

Working Capital

150

632

-76.27

800

Total Assets

1,202

1,723

-30.24

600

Total Liabilities

1,108

1,133

-2.21

400

Capital

2,000

2,000

0.00

200

Reserves

35

35

0.00

504

604

-16.56

94

590

-84.07

0

Long Term Debts

-200

Owners Equity

-400 -600

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

-52

112

N/M

From Investing Activities

-29

-107

N/M

-81

5

N/M

From Financing Activities Increase (Decrease) in Cash Net Cash Flow


Oman Flour Mills Co.|Industrial Last Closing:

OMR

0.47 (02/07/2012)

Activities

52-Week High:

OMR

0.53 (03/07/2011)

The company is engaged in manufacturing and marketing of grains and animal feed products.

52-Week Low:

OMR

0.37 (16/08/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.21%

-0.54%

1-Month

1.07%

-3.37%

-2.31%

3-Month

-0.85%

2.81%

-2.69%

1-Year

-9.62%

0.82%

-4.98%

5-Year

133.25%

11.19%

-10.91%

OMR 15.75 Million

Paid Up Capital:

Daily Market Performance

157.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Manal M. Al Abdawani

0.472

OMR 74.03 Million

Market Capitalization:

Market

GCC

5

22

313

0.43%

1.07%

0.03%

0.468

Board Members:

0.456

Ali H. Al Ghafri Khalifa A. Al Hosni Saif M. Al Ruzsiqi Murtada A. Sultan Shaikhan M. Al Salmi Saleem P. B. Al Raisi Salem H. Al-Saadi

0.452

Auditors: KPMG

0.464

Ratio Comparison: Sector

Market

0.65

1.02

1.00

P/E

25.00

10.26

11.59

P/B

1.58

1.63

1.51

P/R

1.22

1.83

1.43

D/Y

5.32

5.05

4.78

ROA

4.91

8.56

2.56

ROE

6.34

15.86

13.15

Net Margin

4.87

18.04

12.17

Current Ratio

10.15

1.35

1.24

Equity/Assets

77.47

53.97

19.49

Debt/Equity

19.53

34.68

62.99

OMR

Company

Beta

0.460

Email: flour@omantel.net.om

90,000 80,000 70,000 60,000 50,000 40,000 30,000 20,000 10,000 0

WebSite: www.omanflourmills.com

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 16,000 14,000

OMR '000

Others

41.70% Civil Service Employees Pension Fund

12,000 10,000 8,000 6,000

7.30%

4,000 2,000 0

Q3/2011

Q2/2011

Government of Sultanate Oman

Q1/2011

Sales

51.00%

Q4/2010

Q3/2010

Gross Profit

Q2/2010

Q1/2010

Q1/2009

Net Profit

9-Month Financial Data

Total Assets 60,000

31/03/2012

31/03/2011

15,844

13,963

13.47

2,186

2,446

-10.63

823

570

44.39

1,249

1,344

-7.07

Change %

OMR '000

Income Data (OMR '000) 50,000

Sales

40,000

Gross Profit

30,000

Gen Admin Expenses

20,000

Net Profit

10,000 0

Balance Sheet Data (OMR '000) 2010

2009

2008

2007

2006

Cash Inventories

Total Liabilities

Account Receivable

Owners Equity

Current Assets Current Liabilities

1,077

444.38

19,215

-33.87

8,762

8,234

6.41

31,207

35,354

-11.73

3,075

4,264

-27.88

Working Capital

28,132

31,090

-9.51

60,000

Total Assets

60,316

55,377

8.92

50,000

Total Liabilities

13,592

7,650

77.67

40,000

Capital

15,750

15,750

0.00

30,000

Reserves

7,750

7,750

0.00

9,123

2,150

324.33

46,724

47,727

-2.10

Yearly Income Data

OMR '000

5,863 12,706

Long Term Debts

20,000

Owners Equity

10,000 0

Cash Flow Data (OMR '000) 2010

2009

Sales

2008

2007

Gross Profit Net Profit

2006

Cash Flow From Operating Activities

1,643

-7,047

N/M

From Investing Activities

-3,703

-4,412

N/M

From Financing Activities

2,941

-2,034

N/M

881

-13,493

N/M

Increase (Decrease) in Cash Net Cash Flow


Omani Packaging Co.|Industrial Last Closing:

OMR

0.20 (02/07/2012)

Activities

52-Week High:

OMR

0.20 (24/06/2012)

The company is engaged in manufacturing and marketing of corrugated packaging products.

52-Week Low:

OMR

0.15 (18/12/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73% -2.31%

1-Week

0.00%

-0.54%

1-Month

6.38%

-3.37%

3-Month

6.38%

2.81%

-2.69%

1-Year

25.00%

0.82%

-4.98%

5-Year

-11.63%

11.19%

-10.91%

OMR 3.24 Million

Paid Up Capital:

Daily Market Performance

32.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Salem S. H. Al Araimi

0.200

OMR 6.49 Million

Market Capitalization:

Market

GCC

23

77

606

0.04%

0.09%

0.00%

0.198

Board Members:

Awad S. Al Shanfari Saeed A. Al Araimi Salem A. Ba Omar Hamoud A. Al Araimi Muammar A. Al Rawas Homoud A. Al Hinnai Yaser A. Al Rawwas Fayez M. M. Hasan

0.196

Ratio Comparison: Sector

Market

0.09

1.02

1.00

P/E

7.78

10.26

11.59

P/B

1.39

1.63

1.51

P/R

0.52

1.83

1.43

D/Y

7.50

5.05

4.78

ROA

7.07

8.56

2.56

ROE

17.89

15.86

13.15

Net Margin

6.65

18.04

12.17

Current Ratio

1.08

1.35

1.24

Equity/Assets

39.51

53.97

19.49

Debt/Equity

12.88

34.68

62.99

OMR

Company

Beta

0.194 0.192 0.190

Auditors: Deloitte & Touche Email: info@omanipackaging.com

28,000 24,000 20,000 16,000 12,000 8,000 4,000 0

WebSite: www.omanipackaging.com

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

OMR '000

Quarterly Income Data 3,600 3,400 3,200 3,000 2,800 2,600 2,400 2,200 2,000 1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Q3/2011

Sales

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 12,000

31/03/2012

31/03/2011

Change %

OMR '000

Income Data (OMR '000) 10,000

Sales

8,000 6,000 4,000

60.24

150

269.33

Gen Admin Expenses

243

180

35.00

27

1,103.70

325

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

OMR '000

2,125

554

Net Profit

2,000 0

3,405

Gross Profit

306

89

243.82

Inventories

Cash

2,302

1,542

49.29

Account Receivable

4,169

2,709

53.89

Current Assets

6,777

4,341

56.12

Current Liabilities

6,250

3,068

103.72

527

1,273

-58.60

11,768

9,437

24.70 38.70

Working Capital

12,000

Total Assets

10,000

Total Liabilities

7,118

5,132

8,000

Capital

3,244

3,244

0.00

6,000

Reserves

655

572

14.51

Long Term Debts

4,000

Owners Equity

2,000 0

599

849

-29.45

4,650

4,305

8.01

-371

-151

N/M

-98

-84

N/M

158

108.23

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Sales

Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow

329 -140

-77

N/M

483

137

252.55


Oman Refreshment Co. Ltd.|Industrial Last Closing:

OMR

1.82 (02/07/2012)

Activities

52-Week High:

OMR

1.82 (01/07/2012)

The company is engaged in manufacturing of carbonated softdrinks in addition to imports and exports.

52-Week Low:

OMR

1.10 (13/07/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

2.30%

-0.54%

1-Month

13.81%

-3.37%

-2.31%

3-Month

27.78%

2.81%

-2.69%

1-Week

1-Year

65.54%

0.82%

-4.98%

5-Year

375.45%

11.19%

-10.91%

OMR 5.00 Million

Paid Up Capital:

Daily Market Performance

50.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Humaid A. Al Owais

1.84

OMR 91.00 Million

Market Capitalization:

Market

GCC

3

18

279

0.53%

1.32%

0.03%

Managing Director :Hamoud A. M. Al Hinai

1.80

Board Members:

Humoud A. M. Al Hinai Mohammad A. M. Al Raisi Manea M. S. Al Mulla Ali H. Al Owais Mohamed A. Al Owais

1.76

Ratio Comparison: Sector

Market

0.02

1.02

1.00

P/E

11.25

10.26

11.59

P/B

5.87

1.63

1.51

P/R

1.52

1.83

1.43

D/Y

3.84

5.05

4.78

ROA

31.07

8.56

2.56

ROE

52.20

15.86

13.15

Net Margin

12.17

13.50

18.04

Current Ratio

1.96

1.35

1.24

Equity/Assets

59.53

53.97

19.49

-

34.68

62.99

Debt/Equity

OMR

Company

Beta

1.72 1.68

Auditors: Talal Abu Ghazaleh & Co.

1.64

Email: info@pepsioman.com WebSite: www.pepsioman.com

1,200,000 1,000,000 800,000 600,000 400,000 200,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 16,000

OMR '000

14,000

Mohammad & Obaid Al Mulla

16.80%

12,000 10,000 8,000 6,000 4,000 2,000

Others

0

83.20%

Q1/2012

Q4/2011

Q3/2011

Sales

28,000

OMR '000

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

24,000 20,000

Sales

13,868

9,925

39.73

16,000

Gross Profit

4,936

3,190

54.73

12,000

Gen Admin Expenses

3,266

2,691

21.37

1,387

337

311.57

57.43

8,000

Net Profit

4,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

2,300

1,461

Inventories

5,329

5,171

3.06

Account Receivable

5,170

4,304

20.12 33.22

Current Assets

Yearly Income Data

OMR '000

Q2/2011

18,851

14,150

Current Liabilities

9,634

9,486

1.56

Working Capital

9,217

4,664

97.62 21.41

60,000

Total Assets

26,052

21,458

50,000

Total Liabilities

10,543

10,544

-0.01

40,000

Capital

5,000

3,000

66.67

30,000

Reserves

2,943

1,000

194.30

15,509

10,914

42.10

Cash Flow From Operating Activities

-143

-698

N/M

From Investing Activities

-274

-335

N/M

-416

-1,033

N/M

Long Term Debts

20,000

Owners Equity

10,000 0

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

From Financing Activities Increase (Decrease) in Cash Net Cash Flow


Oman Textile Mills Holding Co.|Industrial Last Closing:

OMR

0.37 (02/07/2012)

Activities

52-Week High:

OMR

0.48 (17/07/2011)

The company is engaged in manufacturing and marketing of textile and various types of fabrics.

52-Week Low:

OMR

0.37 (19/06/2012)

Price Performance: Company

Sector

Market

0.00%

-0.39%

-0.70%

1-Week

1.36%

-0.54%

-0.73%

1-Month

-1.86%

-3.37%

-2.31%

3-Month

-2.64%

2.81%

-2.69%

1-Year

-18.69%

0.82%

-4.98%

5-Year

-42.19%

11.19%

-10.91%

1-Day

OMR 6.00 Million

Paid Up Capital:

Daily Market Performance

6.00 Million

Outstanding Shares:

Sector

Share

Market

GCC

36

98

636

0.01%

0.03%

0.00%

Rank

Board Members:

0.384

Market

0.72

1.02

1.00

P/E

-5.01

10.26

11.59

P/B

0.21

1.63

1.51

P/R

1.13

1.83

1.43

D/Y

40.54

5.05

4.78

ROA

-3.86

8.56

2.56

ROE

-4.21

15.86

13.15 12.17

Net Margin

-22.49

18.04

Current Ratio

2.53

1.35

1.24

Equity/Assets

91.62

53.97

19.49

-

34.68

62.99

Debt/Equity

Harish P. Kothary Vijay Kirpal Tore Petre T.M. Arsiwalla Ismail Mansoury

0.380

OMR

Sector

Beta

CEO::Karan Sadana

0.388

Ratio Comparison: Company

Chairman: Safa'Addin Sadeq

0.392

OMR 2.22 Million

Market Capitalization:

0.376 0.372

Auditors: KPMG

0.368

Email: otm@omzest.com WebSite: www.omzest.com/index.htm

14,000 12,000 10,000 8,000 6,000 4,000 2,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 800

600

OMR '000

Waleed O. Al Zawawi

15.00%

Omar A. Al Zawawi

21.70%

Omar Al Zawawi Est. 14.50%

400

200

0

-200

-400

Q1/2012

Q4/2011

Others

Sales

48.80%

16,000

OMR '000

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

45.29

Income Data (OMR '000)

14,000 12,000

Sales

478

329

10,000

Gross Profit

-15

-59

N/M

Gen Admin Expenses

198

332

-40.36

-6

-149

N/M

276.62

8,000 6,000

Net Profit

4,000 2,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Account Receivable

Owners Equity

Current Assets Current Liabilities

Yearly Income Data

Working Capital Total Assets

10,000

OMR '000

Q3/2011

290

77

1,019

993

2.62

525

1,864

-71.83

1,834

2,934

-37.49

726

758

-4.22

1,108

2,176

-49.08

11,479

11,536

-0.49

962

1,116

-13.80

8,000

Total Liabilities

6,000

Capital

6,000

6,000

0.00

4,000

Reserves

4,893

4,237

15.48

10,517

10,420

0.93

Cash Flow From Operating Activities

-266

1,569

N/M

From Investing Activities

-291

246

N/M

Long Term Debts

2,000

Owners Equity

0 -2,000

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

From Financing Activities Increase (Decrease) in Cash Net Cash Flow

-1,776 -557

39

N/M


Oman Euro Foods Industries Co.|Industrial Last Closing:

OMR

0.25 (02/07/2012)

Activities

52-Week High:

OMR

0.25 (21/08/2011)

The company is engaged in production of baby food, cereal and biscuits.

52-Week Low:

OMR

0.25 (13/07/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

-2.31%

3-Month

0.00%

2.81%

-2.69%

1-Year

0.00%

0.82%

-4.98%

5-Year

-75.00%

11.19%

-10.91%

OMR 5.10 Million

Paid Up Capital:

Daily Market Performance

5.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

39

104

642

0.01%

0.02%

0.00%

0.36 Board Members:

0.32

Ratio Comparison: Sector

Market

Beta

0.00

1.02

1.00

P/E

-3.53

10.26

11.59

P/B

1.11

1.63

1.51

P/R

0.68

1.83

1.43

D/Y

0.00

5.05

4.78

ROA

-6.80

8.56

2.56

ROE

-31.47

15.86

13.15

Net Margin

12.17

-19.28

18.04

Current Ratio

1.98

1.35

1.24

Equity/Assets

21.60

53.97

19.49

315.95

34.68

62.99

Debt/Equity

Mohammed A. Jafar Mohammed A. Taki Jassim M. Masoud Salem M. Balama Saif A. Al Khatri

0.28

OMR

Company

Chairman: Awad M. F. Bamkhalef

0.40

OMR 1.28 Million

Market Capitalization:

0.24 0.20

Auditors: Talal Abu Ghazaleh & Co.

0.16

Email: babyfood@omantel.net.om WebSite: www.babyfoodoman.com

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 600

OMR '000

400

200

0

-200

-400

-600

Q1/2012

Q4/2011

Q3/2011

Sales

7,000

OMR '000

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

6,000 5,000

Sales

465

369

26.02

4,000

Gross Profit

198

148

33.78

3,000

Gen Admin Expenses

169

134

26.12

2,000

Net Profit

-92

-105

N/M

1,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

47

69

-31.88

Inventories

502

385

30.39

Account Receivable

401

216

85.65

1,021

761

34.17

Current Liabilities

516

380

35.79

Working Capital

505

381

32.55

Current Assets

Yearly Income Data

OMR '000

Q2/2011

2,000

Total Assets

5,309

5,394

-1.58

1,600

Total Liabilities

4,163

4,111

1.26

1,200

Capital

5,100

5,100

0.00

Long Term Debts

3,624

3,714

-2.42

Owners Equity

1,147

1,283

-10.60

-152

-85

N/M

-3

-13

N/M

40

39

2.56

-114

-59

N/M

800

Reserves

400 0 -400 -800

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Sales

Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow


Packaging Co. Ltd.|Industrial Last Closing:

OMR

0.37 (02/07/2012)

Activities

52-Week High:

OMR

0.38 (21/08/2011)

The company is engaged in manufacturing of corrugated cartons.

52-Week Low:

OMR

0.37 (03/11/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73% -2.31%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

3-Month

0.00%

2.81%

-2.69%

1-Year

-1.34%

0.82%

-4.98%

5-Year

-55.96%

11.19%

-10.91%

OMR 3.00 Million

Paid Up Capital:

Daily Market Performance

3.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

0.55 0.50

40

105

643

0.01%

0.02%

0.00%

Market

0.05

1.02

1.00

P/E

6.76

10.26

11.59

P/B

0.43

1.63

1.51

P/R

0.00

1.83

1.43

D/Y

0.00

5.05

4.78

ROA

3.80

8.56

2.56

ROE

6.37

15.86

13.15

-

18.04

12.17

Net Margin Current Ratio

4.35

1.35

1.24

Equity/Assets

59.58

53.97

19.49

Debt/Equity

38.85

34.68

62.99

Board Members:

Sojy A. Himlay Kith Holt M. K. Sharma Mohammad N. Al Fareed P. Y. Kotian Nity A. Himlay Nikhil R. Dauria

0.40

OMR

Sector

Beta

CEO::Andrew Rompf

0.45

Ratio Comparison: Company

Chairman: Ajay K. Hamlai

0.60

OMR 1.11 Million

Market Capitalization:

0.35 0.30 0.25

Auditors: PricewaterhouseCoopers

0.20

Email: packltd@omantel.net.om

6 4 2 0 -2 -4 -6

WebSite: www.packoman.com

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 4,000

OMR '000

3,000 2,000 1,000 0 -1,000 -2,000 -3,000

Q1/2012

Q4/2011

Q3/2011

Sales

Q2/2010

Q1/2010

Net Profit

31/03/2011

Change %

Income Data (OMR '000)

8,000

OMR '000

Gross Profit

Q3/2010

31/03/2012

9,000

7,000

Sales

6,000

Gross Profit

5,000 4,000

Gen Admin Expenses

3,000

Net Profit

2,000

1,815 -52

150

N/M

49

78

-37.18

-152

-12

N/M

-80.00

Balance Sheet Data (OMR '000)

1,000 2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Account Receivable

Owners Equity

Current Assets Current Liabilities

Yearly Income Data

Working Capital

11

55

1,241

2,273

-45.40

140

2,521

-94.45

3,191

4,849

-34.19

734

3,775

-80.56

2,457

1,074

128.77

8,000

Total Assets

4,320

7,229

-40.24

7,000

Total Liabilities

1,746

4,819

-63.77

Capital

3,000

3,000

0.00

329

299

10.03

6,000

OMR '000

Q1/2011

3-Month Financial Data

Total Assets

0

Q2/2011

5,000 4,000

Reserves

3,000

Long Term Debts

1,000

1,000

0.00

2,000

Owners Equity

2,574

2,410

6.80

1,000 0

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

651

From Investing Activities

-28

From Financing Activities

-602

Increase (Decrease) in Cash Net Cash Flow

21 674


Raysut Cement Co.|Industrial Last Closing:

OMR

1.34 (02/07/2012)

Activities

52-Week High:

OMR

1.35 (07/06/2012)

Manufacturing and marketing of cement products and its by products.

52-Week Low:

OMR

0.70 (22/01/2012)

Price Performance: Company

1-Day

Sector

Market

-0.15%

-0.39%

-0.70% -0.73%

1-Week

0.00%

-0.54%

1-Month

1.74%

-3.37%

-2.31%

3-Month

38.28%

2.81%

-2.69%

1-Year

26.05%

0.82%

-4.98%

5-Year

-7.34%

11.19%

-10.91%

OMR 20.00 Million

Paid Up Capital:

Daily Market Performance

200.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

1

6

140

1.55%

3.88%

0.10%

Board Members:

1.32

Sector

Market

1.08

1.02

1.00

15.93

10.26

11.59

P/B

2.70

1.63

1.51

P/R

3.04

1.83

1.43

D/Y

3.73

5.05

4.78

ROA

8.67

8.56

2.56

ROE

16.94

15.86

13.15

Net Margin

P/E

19.06

18.04

12.17

Current Ratio

1.03

1.35

1.24

Equity/Assets

51.19

53.97

19.49

Debt/Equity

47.46

34.68

62.99

Said A. S. Al Rawas Zenhom Zahran Mohammad S. G. Al Suwaidi Fahad A. A. Al Rajhi Ahmad A. S. Al Hafeez Atef A. A. Al Raeesi Gerhard Hirth Hamed M. Al Sayari

1.30

OMR

Company

Managing Director :Mohammed A. Al Dheeb

1.34

Ratio Comparison: Beta

Chairman: Mohammed A. A. Muqaibel

1.36

OMR 268.00 Million

Market Capitalization:

1.28 1.26 1.24

Auditors: KPMG Email: raysut@raysutcement.com.om

280,000 240,000 200,000 160,000 120,000 80,000 40,000 0

WebSite: www.raysutcement.com.om

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 28,000

Islamic Development Bank

24,000

OMR '000

11.70%

Abdullah A. S. Al Rajhi

10.00%

Abu Dhabi Development Fund

10.00%

20,000 16,000 12,000 8,000 4,000 0

Q1/2012

Others

Q4/2011

68.30%

Q3/2011

Sales

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

24,642

20,238

21.76

7,967

6,041

31.88

351

295

18.98

6,845

4,982

37.39

Cash

12,617

17,102

-26.23

Inventories

14,492

17,678

-18.02

9,600

11,522

-16.68

Current Assets

45,636

54,670

-16.52

Current Liabilities

44,276

54,398

-18.61

1,360

272

400.00

200,000

Change %

OMR '000

Income Data (OMR '000) 160,000

Sales Gross Profit

120,000

Gen Admin Expenses

80,000

Net Profit

40,000

Balance Sheet Data (OMR '000) 0

2011

2010

2009

Total Liabilities

2008

2007

Account Receivable

Owners Equity

Yearly Income Data

Working Capital Total Assets

100,000

OMR '000

80,000 60,000 40,000 20,000

193,879

206,128

-5.94

Total Liabilities

94,626

113,687

-16.77

Capital

20,000

20,000

0.00

Reserves

16,667

16,667

0.00

Long Term Debts

47,102

56,046

-15.96

Owners Equity

99,252

92,441

7.37

Cash Flow Data (OMR '000) 0

2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

7,529

4,780

57.51

From Investing Activities

1,456

1,298

12.17

From Financing Activities

-1,800

-1,714

N/M

4,365

64.60

Increase (Decrease) in Cash Net Cash Flow

7,185


Salalah Mills|Industrial Last Closing:

OMR

0.88 (02/07/2012)

Activities

52-Week High:

OMR

1.00 (29/12/2011)

The company is engaged in grinding of wheat and marketing wheat flour, bran and animal feed products.

52-Week Low:

OMR

0.74 (22/11/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73% -2.31%

1-Week

0.57%

-0.54%

1-Month

1.03%

-3.37%

3-Month

1.14%

2.81%

-2.69%

1-Year

-6.20%

0.82%

-4.98%

5-Year

301.27%

11.19%

-10.91%

OMR 4.81 Million

Paid Up Capital:

Daily Market Performance

48.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Ahmed A. S. Al Rawas

0.90

OMR 42.35 Million

Market Capitalization:

Market

CEO::Ahmed A. Al Dhahab

GCC

7

28

394

0.25%

0.61%

0.02%

0.88

Board Members:

Salim A. B. BaOmar Ahmed A. Muqaibel Ahmad A. A. Ibrahim Abdurrahman A. A. Barham Yaser A. Al Rawas Musallam A. M. Al Mashani Dr. Hassan S. Keshoob

0.86

Ratio Comparison: Sector

Market

0.66

1.02

1.00

P/E

12.54

10.26

11.59

P/B

2.26

1.63

1.51

P/R

0.97

1.83

1.43

D/Y

4.55

5.05

4.78

ROA

7.18

8.56

2.56

ROE

18.06

15.86

13.15

7.73

18.04

12.17

Net Margin Current Ratio

1.05

1.35

1.24

Equity/Assets

39.76

53.97

19.49

Debt/Equity

38.17

34.68

62.99

OMR

Company

Beta

0.84 0.82

Auditors: Talal Abu Ghazaleh & Co. Email: smcem@omantel.net.om

140,000 120,000 100,000 80,000 60,000 40,000 20,000 0

WebSite: www.salalah-mills.com

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 14,000

OMR '000

12,000 10,000 8,000 6,000 4,000 2,000 0

Q1/2012

Q4/2011

Q3/2011

Sales

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 50,000

31/03/2012

31/03/2011

Change %

12,187

8,627

41.27

1,997

1,830

9.13

492

399

23.31

1,180

1,134

4.06

-66.78

OMR '000

Income Data (OMR '000) 40,000

Sales

30,000

Gross Profit

20,000

Gen Admin Expenses Net Profit

10,000

Balance Sheet Data (OMR '000) 0

2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

899

2,706

Inventories

9,301

9,357

-0.60

Account Receivable

8,794

5,245

67.66

19,274

17,622

9.37

21,752

-15.81

Current Assets Current Liabilities

Yearly Income Data

Working Capital

45,000 40,000

962

-4,130

N/M

Total Assets

47,042

39,844

18.07

Total Liabilities

12.26

26,275

23,406

30,000

Capital

4,816

4,125

16.75

25,000

Reserves

3,727

2,932

27.11

7,139

1,037

588.43

18,703

14,717

27.08

35,000

OMR '000

18,312

20,000

Long Term Debts

15,000

Owners Equity

10,000 5,000 0

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

Cash Flow From Operating Activities

-397

-365

N/M

From Investing Activities

-275

-1,036

N/M

From Financing Activities

-3,008

92

N/M

Increase (Decrease) in Cash

-3,680

-1,494

N/M

210

140

50.00

Net Cash Flow


Sweets of Oman Co.|Industrial Last Closing:

OMR

0.62 (02/07/2012)

Activities

52-Week High:

OMR

0.80 (13/07/2011)

The company is engaged in manufacturing and marketing of sweets and chocolate confectionery.

52-Week Low:

OMR

0.60 (28/09/2011)

Price Performance: Company

Sector

Market

0.00%

-0.39%

-0.70%

1-Week

0.00%

-0.54%

-0.73%

1-Month

-3.88%

-3.37%

-2.31%

3-Month

-11.05%

2.81%

-2.69%

1-Year

-22.02%

0.82%

-4.98%

5-Year

520.00%

11.19%

-10.91%

1-Day

OMR 0.70 Million

Paid Up Capital:

Daily Market Performance

7.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

26

83

617

0.03%

0.06%

0.00%

0.644 Board Members:

0.640

Ratio Comparison: Sector

Market

Beta

-0.01

1.02

1.00

P/E

6.00

10.26

11.59

P/B

1.90

1.63

1.51

P/R

0.42

1.83

1.43

D/Y

7.26

5.05

4.78

ROA

10.49

8.56

2.56

ROE

31.74

15.86

13.15

7.02

18.04

12.17

Net Margin Current Ratio

1.40

1.35

1.24

Equity/Assets

33.06

53.97

19.49

-

34.68

62.99

Debt/Equity

Mohammed A. Bhacker C. S. Badrinath S. K. Rao

0.636

OMR

Company

Chairman: Redha B. S. Jaffer

0.648

OMR 4.34 Million

Market Capitalization:

0.632

Auditors: Moore Stephens

0.628

Email: info@sweetsofoman.com

0.624

WebSite: http://sweetsofoman.com

10,000 8,000 6,000 4,000 2,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

OMR '000

Quarterly Income Data 3,400 3,200 3,000 2,800 2,600 2,400 2,200 2,000 1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Q3/2011

Sales

7,000

OMR '000

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

6,000 5,000

Sales

2,421

2,262

7.03

4,000

Gross Profit

650

586

10.92

2,000

Gen Admin Expenses

376

309

21.68

1,000

Net Profit

160

175

-8.57

506.45

3,000

0 (1,000)

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

OMR '000

7/1

Cash

188

31

Inventories

3,085

2,260

36.50

Account Receivable

2,201

1,516

45.18

Current Assets

5,899

4,059

45.33

Current Liabilities

4,199

2,771

51.53

Working Capital

1,700

1,288

31.99

12,000

Total Assets

6,899

5,226

32.01

10,000

Total Liabilities

4,619

3,353

37.76

8,000

Capital

700

700

0.00

6,000

Reserves

233

233

0.00

2,281

1,872

21.85

Long Term Debts

4,000

Owners Equity

2,000 0

Cash Flow Data (OMR '000) 2011

2010

Sales

2009

2008

Gross Profit Net Profit

2007

-669

409

N/M

From Investing Activities

Cash Flow From Operating Activities

-23

-249

N/M

From Financing Activities

547

-394

N/M

-234

N/M

Increase (Decrease) in Cash Net Cash Flow

-144


Al Fajar Al Alamia|Industrial Last Closing:

OMR

0.71 (02/07/2012)

Activities

52-Week High:

OMR

0.75 (24/05/2012)

Manufacture of industrial explosives and trading in explosives accessories.

52-Week Low:

OMR

0.71 (25/12/2011)

Price Performance: Company

1-Day

Sector

Market

0.00%

-0.39%

-0.70% -0.73% -2.31%

1-Week

0.00%

-0.54%

1-Month

0.00%

-3.37%

3-Month

0.00%

2.81%

-2.69%

1-Year

-3.52%

0.82%

-4.98%

5-Year

716.00%

11.19%

-10.91%

OMR 4.93 Million

Paid Up Capital:

Daily Market Performance

49.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Saleem Q. Al Zawawi

1.1

OMR 35.02 Million

Market Capitalization:

Market

GCC

8

33

425

0.20%

0.51%

0.01%

1 Board Members:

0.9

Maryam A.M. Zawawi Muna N. B. Ritchie Hamoud A. Al Araimi Haythem M. Macki

0.8

Ratio Comparison: Sector

Market

0.16

1.02

1.00

P/E

-86.02

10.26

11.59

P/B

1.66

1.63

1.51

P/R

3.46

1.83

1.43

D/Y

2.80

5.05

4.78

ROA

-1.06

8.56

2.56

ROE

-1.92

15.86

13.15

Net Margin

-4.01

18.04

12.17

Current Ratio

5.35

1.35

1.24

Equity/Assets

55.38

53.97

19.49

Debt/Equity

65.95

34.68

62.99

0.7

OMR

Company

Beta

Auditors: KPMG

0.6 0.5

Email: hetco@omantel.net.om

0.4

WebSite:

4,500 4,000 3,500 3,000 2,500 2,000 1,500 1,000 500 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,800 1,600

OMR '000

1,400 1,200 1,000 800 600 400 200 0 -200

Q3/2011

Q2/2011

Q1/2011

Q4/2010

Gross Profit

Q1/2009

Net Profit

31/03/2011

Change %

Gross Profit

623

1,367

-54.43

Gen Admin Expenses

330

262

25.95

-113

613

N/M

Income Data (OMR '000)

40,000

OMR '000

Q1/2010

31/03/2012

45,000

35,000 30,000 25,000 20,000

Net Profit

15,000

Balance Sheet Data (OMR '000)

10,000

Cash

5,000 2010

2009

2008

Total Liabilities

2007

2006

Owners Equity

546

3,047

-82.08

1,366

1,164

17.35

Account Receivable

10,353

9,915

4.42

Current Assets

12,436

14,283

-12.93

Inventories

Current Liabilities

Yearly Income Data 4,500 4,000

2,324

2,596

-10.48

Working Capital

10,112

11,687

-13.48

Total Assets

38,331

40,692

-5.80

Total Liabilities

17,103

18,070

-5.35

4,933

4,933

0.00

940

789

19.14

Capital

3,500

OMR '000

Q2/2010

9-Month Financial Data

Total Assets

0

Q3/2010

3,000

Reserves

2,500

Long Term Debts

14,000

14,833

-5.62

Owners Equity

21,227

22,622

-6.17

2,000 1,500

Cash Flow Data (OMR '000)

1,000 500 0

Cash Flow From Operating Activities 2010

2009

2008

Gross Profit Net Profit

2007

2006

-848

314

N/M

From Investing Activities

148

-18,628

N/M

From Financing Activities

-3,277

18,741

N/M

Increase (Decrease) in Cash

-3,977

427

N/M

3,191

-64.68

Net Cash Flow

1,127


ACWA Power Barka|Services & Insurance Last Closing:

OMR

0.38 (02/07/2012)

Activities

52-Week High:

OMR

0.40 (24/04/2012)

52-Week Low:

OMR

0.24 (07/08/2011)

The company is engaged in developing, financing, designing, establishing, operating, servicing, insuring, and owning power generating station and water desalination unit, in addition to other related services.

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

1.07%

-0.15%

-0.73%

1-Month

0.80%

0.16%

-2.31%

3-Month

13.63%

-1.35%

-2.69%

1-Year

38.88%

3.96%

-4.98%

5-Year

-12.80%

8.18%

-10.91%

OMR 16.00 Million

Paid Up Capital:

Daily Market Performance

160.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Mohammed A. Abunayyan

0.380

OMR 60.80 Million

Market Capitalization:

Market

GCC

9

24

356

2.18%

0.87%

0.02%

0.378

Board Members:

Suresh K. Virmani Rajit Nanda Mrinal Sengupta Patrick J. C. Townsend Ahmed M. R. Al Sinani

0.376

Ratio Comparison: Sector

Market

0.27

0.83

1.00

P/E

6.71

11.61

11.59

P/B

1.61

1.93

1.51

P/R

1.38

1.02

1.43

D/Y

0.00

6.44

4.78

ROA

6.59

6.03

2.56

ROE

23.92

16.60

13.15

Net Margin

12.17

20.64

8.75

Current Ratio

0.88

1.05

1.24

Equity/Assets

27.55

36.35

19.49

171.21

81.26

62.99

Debt/Equity

OMR

Company

Beta

0.374

Auditors: Ernst & Young

0.372

Email: uanwar@acwapower.com WebSite: http://www.acwapi.com

320,000 280,000 240,000 200,000 160,000 120,000 80,000 40,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 12,000

10,000

OMR '000

Others

42.00%

8,000

6,000

4,000

2,000

0

Q1/2012

Q4/2011

AES Barka Holdings (Cayman) Ltd.

Revenues

58.00%

160,000

OMR '000

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

140,000 120,000

Revenues

8,519

8,623

-1.21

100,000

Gross Profit

2,745

3,657

-24.94

472

513

-7.99

1,000

1,420

-29.58

Cash

3,928

8,520

-53.90

Inventories

3,910

3,952

-1.06

Account Receivable

5,957

3,708

60.65

Current Assets

13,893

16,180

-14.13

Current Liabilities

15,849

16,895

-6.19

Working Capital

-1,956

-715

N/M

Total Assets

135,672

141,743

-4.28

Total Liabilities

103,224

115,755

-10.83

16,000

16,000

0.00

5,419

5,419

0.00

80,000 60,000

Gen Admin Expenses

40,000

Net Profit

20,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data 45,000 40,000 35,000

OMR '000

Q3/2011

30,000

Capital

25,000

Reserves

20,000 15,000 10,000 5,000 0

Long Term Debts

63,983

73,551

-13.01

Owners Equity

37,372

32,432

15.23

Cash Flow Data (OMR '000) 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

Cash Flow From Operating Activities

2,471

4,774

-48.24

From Investing Activities

-65

-380

N/M

From Financing Activities

-1,392

-1,920

N/M

Increase (Decrease) in Cash

1,014

2,474

-59.01

Net Cash Flow

3,382

4,353

-22.31


Al Batinah Hotels Co.|Services & Insurance Last Closing:

OMR

1.30 (02/07/2012)

Activities

52-Week High:

OMR

1.30 (13/07/2011)

The company is engaged in providing hotel related activity services.

52-Week Low:

OMR

1.30 (03/07/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.00%

0.16%

-2.31%

3-Month

-0.01%

-1.35%

-2.69%

1-Year

0.01%

3.96%

-4.98%

5-Year

30.36%

8.18%

-10.91%

OMR 2.31 Million

Paid Up Capital:

Daily Market Performance

2.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Khaled H. N. Al-Ma'wali

1.29810

OMR 3.00 Million

Market Capitalization:

Market

GCC

35

93

630

0.11%

0.04%

0.00%

1.29808

Board Members:

1.29804

Ali M. S. Al- Saadi Nasser S. Al-Harthy Suleiman S. Al-Adi Salem Al-Ma'amari Ismail S. Al-Shirawi Prakash Gabra

1.29802

Auditors: PricewaterhouseCoopers

1.29806

Ratio Comparison: Sector

Market

0.03

0.83

1.00

P/E

20.83

11.61

11.59

P/B

1.11

1.93

1.51

P/R

2.38

1.02

1.43

D/Y

0.00

6.44

4.78

ROA

4.25

6.03

2.56

ROE

5.31

16.60

13.15 12.17

Net Margin

11.42

8.75

Current Ratio

1.45

1.05

1.24

Equity/Assets

80.06

36.35

19.49

-

81.26

62.99

Debt/Equity

OMR

Company

Beta

Email: soharhtl@omantel.net.om WebSite: www.soharbeach.com

3,200 2,800 2,400 2,000 1,600 1,200 800 400 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data

OMR '000

500

300

100

-100

Q1/2012

Q4/2011

Q3/2011

Revenues

OMR '000

3,500

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

336

289

16.26

92

8

1,050.00

80

-17

Change %

Income Data (OMR '000)

3,000 2,500

Revenues

2,000

Gross Profit

1,500

Gen Admin Expenses

1,000

Net Profit

500

6 N/M

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

OMR '000

Q1/2011

3-Month Financial Data

Total Assets

0

Q2/2011

Cash

58

42

38.10

Inventories

88

112

-21.43

Account Receivable

125

92

35.87

Current Assets

448

668

-32.93

Current Liabilities

310

252

23.02

Working Capital

138

416

-66.83

3,385

3,201

5.75

676

636

6.29

2,310

2,200

5.00

279

267

4.49

2,710

2,565

5.65

2,000

Total Assets

1,600

Total Liabilities Capital

1,200

Reserves Long Term Debts

800

Owners Equity

400

Cash Flow Data (OMR '000) 0

2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Revenues Gross Profit Net Profit

66

-61

N/M

-82

5

N/M

-16

-56

N/M

From Financing Activities Increase (Decrease) in Cash Net Cash Flow


Al Buraimi Hotels Co.|Services & Insurance Last Closing:

OMR

0.97 (02/07/2012)

Activities

52-Week High:

OMR

0.97 (13/07/2011)

The company is engaged in ownership & management of hotels.

52-Week Low:

OMR

0.97 (28/09/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.00%

0.16%

-2.31%

3-Month

0.00%

-1.35%

-2.69%

1-Year

0.00%

3.96%

-4.98%

5-Year

10.00%

8.18%

-10.91%

OMR 3.57 Million

Paid Up Capital:

Daily Market Performance

3.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Ahmed M. Rawas

1.6

OMR 3.47 Million

Market Capitalization:

Market

GCC

33

88

625

0.13%

0.05%

0.00%

1.4

Board Members:

Rashid Al Naimi Mazen A. A. Al Rawas Pazhayathoppil A. Koya Chittakathu M. Ali Ahmad M. S. Al Yaqoubi

1.2

Ratio Comparison: Sector

Market

0.00

0.83

1.00

P/E

-19.21

11.61

11.59

P/B

1.19

1.93

1.51

P/R

8.35

1.02

1.43

D/Y

0.00

6.44

4.78

ROA

-4.30

6.03

2.56

ROE

-6.19

16.60

13.15 12.17

Net Margin

-43.48

8.75

Current Ratio

0.08

1.05

1.24

Equity/Assets

69.50

36.35

19.49

1.27

81.26

62.99

Debt/Equity

OMR

Company

Beta

1 0.8

Auditors: Moore Stephens

0.6

Email: anoopaishwarya@yahoo.com WebSite:

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data

OMR '000

240

40

-160

Q1/2012

Q4/2011

Q3/2011

Revenues

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 5,000

31/03/2012

31/03/2011

Change %

-28.23

OMR '000

Income Data (OMR '000) 4,000

Revenues

89

124

3,000

Gross Profit

41

30

36.67

2,000

Gen Admin Expenses

65

94

-30.85

Net Profit

-8

-30

N/M

15

14

7.14

9

23

-60.87

Account Receivable

64

12

433.33

Current Assets

88

49

79.59 3.71

1,000

Balance Sheet Data (OMR '000) 0

2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Owners Equity

Current Liabilities

1,174

1,132

-1,086

-1,083

N/M

Total Assets

4,184

4,278

-2.20

800

Total Liabilities

1,275

1,190

7.14

600

Capital

3,573

3,573

0.00

400

Reserves

93

93

0.00

200

Long Term Debts

2,908

3,088

-5.83

-3

11

N/M

15

-23

N/M

12

-12

N/M

-43

7

N/M

Yearly Income Data

Working Capital

OMR '000

1,000

0

Owners Equity

-200 -400

37

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Revenues Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow


Al Jazeira Services Co.|Services & Insurance Last Closing:

OMR

0.27 (02/07/2012)

Activities

52-Week High:

OMR

0.32 (11/03/2012)

The company is engaged in providing catering services in addition to hotel projects development.

52-Week Low:

OMR

0.14 (09/08/2011)

Price Performance: Company

Sector

Market

0.00%

-0.54%

-0.70%

1-Week

4.70%

-0.15%

-0.73%

1-Month

-9.19%

0.16%

-2.31%

3-Month

-13.88%

-1.35%

-2.69%

1-Year

58.92%

3.96%

-4.98%

5-Year

38.91%

8.18%

-10.91%

1-Day

OMR 11.17 Million

Paid Up Capital:

Daily Market Performance

111.00 Million

Outstanding Shares:

Market

GCC

0.295

16

38

455

0.290

Board Members:

1.08%

0.43%

0.01%

0.285

Sofyan A. Al Khatib Adel M. H. Taqi Amer Al Fadhal

Sector Rank Share

0.280

Ratio Comparison: Sector

Market

1.79

0.83

1.00

14.35

11.61

11.59

P/B

1.56

1.93

1.51

P/R

2.56

1.02

1.43

D/Y

2.62

6.44

4.78

ROA

7.58

6.03

2.56

ROE

10.82

16.60

13.15

Net Margin

17.82

8.75

12.17

P/E

Current Ratio

1.76

1.05

1.24

Equity/Assets

70.04

36.35

19.49

Debt/Equity

10.72

81.26

62.99

OMR

Company

Beta

0.275

Auditors: Moore Stephens

0.270 0.265

Email: damacinv@omantel.net.om

0.260

WebSite: http://www.aljazeiraservices.com

0.255 320,000 280,000 240,000 200,000 160,000 120,000 80,000 40,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

Others

7/1

OMR '000

3,100 2,900 2,700 2,500 2,300 2,100 1,900 1,700 1,500 1,300 1,100 900 700 500 300 100 -100 -300 -500 -700 -900 -1,100 -1,300 -1,500

Q1/2012

Q4/2011

Damac Group

Q3/2011

Revenues

54.10%

Q2/2011

Q1/2011

Gross Profit

Q4/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 40,000

OMR '000

6/24

Quarterly Income Data

45.90%

31/03/2012

31/03/2011

Change %

20.18

Income Data (OMR '000)

35,000 30,000

Revenues

3,031

2,522

25,000

Gross Profit

904

871

3.79

Gen Admin Expenses

137

139

-1.44

1,404

742

89.22

1,288

4,169

-69.11

356

302

17.88

5,151

2,888

78.36

10,139

8,422

20.39

20,000 15,000

Net Profit

10,000 5,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Account Receivable

Owners Equity

Current Assets

Yearly Income Data

OMR '000

Chairman: Hussain A. H. Sajwani

0.300

OMR 30.16 Million

Market Capitalization:

Current Liabilities

5,756

6,299

-8.62

Working Capital

4,383

2,123

106.45

27,388

26,993

1.46

8,206

10,930

-24.92

11,172

11,172

0.00

3,813

3,813

0.00

2,057

4,277

-51.91

19,183

16,063

19.42

16,000

Total Assets

12,000

Total Liabilities

8,000

Capital

4,000

Reserves

0

Long Term Debts

-4,000

Owners Equity

-8,000 -12,000

Cash Flow Data (OMR '000) 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

315

338

-6.80

From Investing Activities

Cash Flow From Operating Activities

-693

1,844

N/M

From Financing Activities

-85

-4,038

N/M

-462

-1,855

N/M

557

445

25.17

Increase (Decrease) in Cash Net Cash Flow


A'Saffa Food Co.|Services & Insurance Last Closing:

OMR

0.49 (02/07/2012)

Activities

52-Week High:

OMR

0.54 (31/05/2012)

The company is engaged in poultry production and other related activities.

52-Week Low:

OMR

0.37 (07/08/2011)

Price Performance: Company

Sector

Market

0.00%

-0.54%

-0.70%

1-Week

-1.20%

-0.15%

-0.73%

1-Month

-4.45%

0.16%

-2.31%

3-Month

-5.91%

-1.35%

-2.69%

1-Year

30.00%

3.96%

-4.98%

5-Year

408.75%

8.18%

-10.91%

1-Day

OMR 11.03 Million

Paid Up Capital:

Daily Market Performance

110.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

11

26

365

1.98%

0.79%

0.02%

CEO::Naser Z. Al Mawali

0.525 Board Members:

0.520

Suleiman N. S. Al Lamki Mubarak S. Al Mandari Dr. Rashid M. Al Ghelani Areej M. Al Kleeb Mohammed H. Al Asere

0.515

Ratio Comparison: Sector

Market

0.72

0.83

1.00

P/E

13.28

11.61

11.59

P/B

3.22

1.93

1.51

P/R

2.47

1.02

1.43

D/Y

2.31

6.44

4.78

ROA

12.57

6.03

2.56

ROE

24.24

16.60

13.15

Net Margin

12.17

18.56

8.75

Current Ratio

1.87

1.05

1.24

Equity/Assets

51.85

36.35

19.49

Debt/Equity

49.65

81.26

62.99

OMR

Company

Beta

0.510 0.505

Auditors: Moore Stephens

0.500

Email: asaffa@omantel.net.om

0.495

WebSite: http://www.asaffa.com

32,000 28,000 24,000 20,000 16,000 12,000 8,000 4,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

Internal Security Service Pension Fund

10.00%

National United Engineering & Contracting Co.

10.00% Gulf Investment Corp.

33.25%

Arab Authority for Agricultural Investment & 33.25% Development

7/1

6,000 5,800 5,600 5,400 5,200 5,000 4,800 4,600 4,400 4,200 4,000 3,800 3,600 3,400 3,200 3,000 2,800 2,600 2,400 2,200 2,000 1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Q3/2011

Revenues

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 32,000

OMR '000

6/24

Quarterly Income Data

OMR '000

Others

13.50%

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

28,000 24,000

Revenues

5,841

5,097

14.60

20,000

Gross Profit

1,974

1,723

14.57

282

261

8.05

1,061

815

30.18

Cash

4,344

3,616

20.13

Inventories

2,421

3,288

-26.37

5,457

4,198

29.99

13,296

12,102

9.87

6,353

12.18

16,000

Gen Admin Expenses

12,000

Net Profit

8,000 4,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Account Receivable

Owners Equity

Current Assets

Yearly Income Data

OMR '000

Chairman: Saleh M. Al Shanfari

0.530

OMR 54.02 Million

Market Capitalization:

Current Liabilities

7,127

Working Capital

6,169

5,749

7.31

24,000

Total Assets

32,604

28,568

14.13

20,000

Total Liabilities

15,699

14,501

8.26

16,000

Capital

11,025

10,500

5.00

12,000

Reserves

1,363

953

43.02

Long Term Debts

8,000

Owners Equity

4,000 0

8,394

8,027

4.57

16,905

14,067

20.17

Cash Flow Data (OMR '000) 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

Cash Flow From Operating Activities

1,593

154

934.42

From Investing Activities

-1,264

-21

N/M

From Financing Activities

303

-538

N/M

Increase (Decrease) in Cash Net Cash Flow

632

-406

N/M

1,387

1,173

18.24


Dhofar Insurance Co.|Services & Insurance Last Closing:

OMR

0.17 (02/07/2012)

Activities

52-Week High:

OMR

0.20 (10/07/2011)

To provide all types of insurance coverage, including life insurance.

52-Week Low:

OMR

0.17 (02/05/2012)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.00%

0.16%

-2.31%

3-Month

-9.53%

-1.35%

-2.69%

1-Year

-12.31%

3.96%

-4.98%

5-Year

-27.91%

8.18%

-10.91%

OMR 20.00 Million

Paid Up Capital:

Daily Market Performance

200.00 Million

Outstanding Shares:

Market

GCC

35

0.24

15

431

1.24%

0.50%

0.01%

0.22

Sector Rank Share

Sector

Market

0.77

0.83

1.00

P/E

-16.29

11.61

11.59

P/B

1.13

1.93

1.51

P/R

0.67

1.02

1.43

D/Y

5.85

6.44

4.78

ROA

-1.72

6.03

2.56

ROE

-6.90

16.60

13.15

Net Margin

-4.09

8.75

12.17

Current Ratio

2.37

1.05

1.24

Equity/Assets

24.95

36.35

19.49

Said A. M. Al-Rawas Amer A. A. Al-Rawas Salim A. B. Ba'Omar Mustafa A. Al-Ghassani Abdulalim M. Rakhyoot Salim T. Al-Mashani Hani J. Ashoor Taher T. K. Al-Heraki Abdulsalam M. Al Rawas Khalid A. S. Al Rawas

0.18

OMR

Company

Board Members:

0.20

Ratio Comparison: Beta

Chairman: Salim M. Al Shanfari

0.26

OMR 34.00 Million

Market Capitalization:

0.16 0.14 0.12 0.10

Auditors: KPMG

50,000 40,000 30,000 20,000 10,000 0

Email: dhofar@dhofarinsurance.com WebSite: www.dhofarinsurance.com

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data

Dhofar International Development & Investment Holding Co.

20,000

16,000

OMR '000

25.10%

Abdulalem M. Rakhyoot

10.75%

12,000

8,000

4,000

0

-4,000

Q1/2012

Q4/2011

Q3/2011

Q2/2011

Q1/2011

Q3/2010

Q2/2010

Q1/2010

Others

64.15%

Gross Premiums

31/03/2012

31/03/2011

Change %

14,520

15,504

-6.35

1,453

1,323

9.83

Cash

3,341

3,183

4.96

Account Receivable

3,865

3,783

2.17

Current Assets

71,651

70,418

1.75

Current Liabilities

30,292

28,816

5.12

180,000

Income Data (OMR '000)

OMR '000

160,000 140,000

Gross Premiums

120,000

Underwriting Profit

100,000 80,000

Gen Admin Expenses

60,000

Net Profit

40,000

Balance Sheet Data (OMR '000)

20,000 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Working Capital

Yearly Income Data

OMR '000

Net Profit

3-Month Financial Data

Total Assets

0

Underwriting Profit

Total Assets

41,359

41,602

-0.58

121,720

122,135

-0.34 3.10

60,000

Total Liabilities

91,349

88,603

50,000

Capital

20,000

20,000

0.00

40,000

Reserves

12,132

12,441

-2.48

Owners Equity

30,371

33,532

-9.43

-2,445

-2,353

N/M

1,133

1,118

1.34

-1,312

-1,235

N/M

30,000 20,000

Cash Flow Data (OMR '000)

10,000

Cash Flow From Operating Activities

0 -10,000

From Investing Activities 2011

2010

2009

2008

2007

From Financing Activities Increase (Decrease) in Cash

Gross Premiums Underwriting Profit

Net Profit

Net Cash Flow


Dhofar Poultry Co.|Services & Insurance Last Closing:

OMR

0.79 (02/07/2012)

Activities

52-Week High:

OMR

1.26 (13/07/2011)

The company is engaged in marketing of poultry products and other related activities.

52-Week Low:

OMR

0.78 (14/05/2012)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

1.28%

0.16%

-2.31%

3-Month

-3.66%

-1.35%

-2.69%

1-Year

-37.31%

3.96%

-4.98%

5-Year

97.50%

8.18%

-10.91%

OMR 3.00 Million

Paid Up Capital:

Daily Market Performance

3.00 Million

Outstanding Shares:

Sector Rank Share

Market

36

97

634

0.03%

0.00%

Ratio Comparison: 0.83

1.00

P/E

8.40

11.61

11.59

P/B

1.00

1.93

1.51

P/R

0.67

1.02

1.43

D/Y

0.00

6.44

4.78

ROA

8.91

6.03

2.56

ROE

11.91

16.60

13.15

8.01

8.75

12.17

Current Ratio

2.31

1.05

1.24

Equity/Assets

74.76

36.35

19.49

-

81.26

62.99

Debt/Equity

0.788

Board Members:

0.786

Ahmad S. Al Hadri Ahmad S. Al Ghafri Ahmad A. Kattan K. M. S. Sreenivas

Market

-0.08

OMR

Sector

Beta

Net Margin

CEO::Salim T. Al-Mashani

GCC

0.09%

Company

Chairman: Salim A. Al-Awadi

0.790

OMR 2.37 Million

Market Capitalization:

0.784

Auditors: KPMG

0.782

Email: info@dhofarpoultry.com WebSite: www.dhofarpoultry.com

450 400 350 300 250 200 150 100 50 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,200

OMR '000

1,000

800

600

400

200

0

Q1/2012

Q4/2011

Q3/2011

Revenues

3,500

OMR '000

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

1,002

778

28.79

236

157

50.32

Income Data (OMR '000)

3,000 2,500

Revenues

2,000

Gross Profit

1,500

Gen Admin Expenses

49

38

28.95

Net Profit

94

38

147.37

726.32

1,000 500 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

Cash

314

38

Inventories

303

310

-2.26

Account Receivable

1,030

788

30.71

Current Assets

1,647

1,136

44.98

Current Liabilities

713

531

34.27

Working Capital

934

605

54.38

3,166

2,680

18.13 34.29

Total Assets

3,500 3,000

Total Liabilities

2,500

OMR '000

Q2/2011

Capital

2,000 1,500

Reserves

1,000

Long Term Debts Owners Equity

500 0 -500

799

595

3,000

3,000

0.00

203

158

28.48

2,367

2,085

13.53

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Revenues Gross Profit Net Profit

76

66

15.15

-49

-50

N/M

27

13

From Financing Activities Increase (Decrease) in Cash Net Cash Flow

-4 107.69


Dhofar Tourism Co.|Services & Insurance Last Closing:

OMR

1.00 (02/07/2012)

Activities

52-Week High:

OMR

1.10 (06/09/2011)

The company is engaged in providing tourism projects and other related services.

52-Week Low:

OMR

1.00 (21/08/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.00%

0.16%

-2.31%

3-Month

0.00%

-1.35%

-2.69%

1-Year

0.00%

3.96%

-4.98%

5-Year

11.11%

8.18%

-10.91%

OMR 8.00 Million

Paid Up Capital:

Daily Market Performance

8.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Sh. Nawaf J. J. Al Thani

1.6

OMR 8.00 Million

Market Capitalization:

Market

GCC

31

74

599

0.29%

0.12%

0.00%

CEO::Maurice Drevet

1.4

Board Members:

Mansoor I. Mahmoud Hashim T. Ibrahim Kareem Al Meer Amer A. Al Rawas Ahmad A. Ibrahim Mohammed A. Abdullah

1.2

Ratio Comparison: Sector

Market

0.05

0.83

1.00

P/E

-3.32

11.61

11.59

P/B

0.29

1.93

1.51

P/R

6.51

1.02

1.43

D/Y

30.00

6.44

4.78

ROA

-4.93

6.03

2.56

ROE

-8.65

16.60

13.15 12.17

Net Margin

-195.85

8.75

Current Ratio

0.09

1.05

1.24

Equity/Assets

57.00

36.35

19.49

Debt/Equity

32.77

81.26

62.99

OMR

Company

Beta

1 0.8

Auditors: KPMG

0.6

Email: ahmed@dhofartourism.com WebSite:

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 600

OMR '000

400

Others

Dhofar International Development & Investment Holding Co.

36.70%

14.31%

200 0 -200 -400 -600 -800

Q1/2012

Q4/2011

Qatar Holding Co.

Revenues

48.99%

OMR '000

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2011

Change %

38.02

Income Data (OMR '000)

80,000 70,000 60,000 50,000 40,000

Revenues

363

263

Gross Profit

-48

-151

N/M

51

72

-29.17

-531

-630

N/M

Gen Admin Expenses

30,000

Net Profit

20,000

Balance Sheet Data (OMR '000)

10,000 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

-21

39

N/M

Inventories

481

459

4.79

Account Receivable

209

149

40.27

Current Assets

669

646

3.56 72.74

Current Liabilities

Yearly Income Data 1,500 1,000 500

OMR '000

Q1/2011

31/03/2012

90,000

7,599

4,399

Working Capital

-6,930

-3,753

N/M

Total Assets

48,837

49,858

-2.05

Total Liabilities

20,998

19,611

7.07

8,000

8,000

0.00

26,361

26,361

0.00

Capital

0 -500

Reserves

-1,000

Long Term Debts

-1,500

Owners Equity

-2,000 -2,500 -3,000

Q2/2011

3-Month Financial Data

Total Assets

0

Q3/2011

9,122

10,322

-11.63

27,839

30,247

-7.96

-26

-828

N/M

-1

-36

N/M

-27

-1,034

N/M

-107

-233

N/M

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Revenues Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow

-170


Dhofar University|Services & Insurance Last Closing:

OMR

1.12 (02/07/2012)

Activities

52-Week High:

OMR

1.19 (13/07/2011)

Higher education institution

52-Week Low:

OMR

1.12 (01/04/2012)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.00%

0.16%

-2.31%

3-Month

0.00%

-1.35%

-2.69%

1-Year

-5.55%

3.96%

-4.98%

5-Year

-22.49%

8.18%

-10.91%

OMR 14.00 Million

Paid Up Capital:

Daily Market Performance

14.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

22

52

533

0.57%

0.23%

0.01%

1.6 Board Members:

1.4

Ratio Comparison: Sector

Market

Beta

-0.01

0.83

1.00

P/E

0.00

11.61

11.59

P/B

0.00

1.93

1.51

P/R

0.00

1.02

1.43

D/Y

0.00

6.44

4.78

ROA

0.50

6.03

2.56

ROE

2.25

16.60

13.15

Net Margin

4.67

8.75

12.17

Current Ratio

0.62

1.05

1.24

Equity/Assets

22.38

36.35

19.49

-

81.26

62.99

Debt/Equity

Mohammed Y. Alawi Bakheet S. Al Maashani Abdullah A. B. Al Shanfari Ahmad Y. Alawi

1.2

OMR

Company

Chairman: Ahmad A. Moqaibel

1.8

OMR 15.68 Million

Market Capitalization:

1

Auditors: KPMG

0.8

Email: du@du.edu.om

0.6

WebSite: http://www.du.edu.om

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

6/24

Shareholders

7/1

Quarterly Income Data 1,800 1,600

OMR '000

1,400 1,200 1,000 800 600 400 200 0 -200 -400 -600 -800

Q1/2012

Q4/2011

Q3/2011

Revenues

Q2/2011

Gross Profit

Q1/2011

Q2/2010

Q1/2010

Net Profit

Half Yearly Financial Data

Total Assets

29/02/2012

50,000

28/02/2011

Change %

N/M

OMR '000

Cash Flow Data (OMR '000) 40,000

Cash Flow From Operating Activities

1,605

-64

30,000

From Investing Activities

-1,291

-5,397

N/M

20,000

From Financing Activities

212

3,463

-93.88

Increase (Decrease) in Cash

525

-2,577

N/M

10,000

Net Cash Flow 0

2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data 5,000

OMR '000

4,000 3,000 2,000 1,000 0 -1,000 -2,000

2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007


Gulf Hotels Co. Ltd.|Services & Insurance Last Closing:

OMR

11.00 (02/07/2012)

Activities

52-Week High:

OMR

11.00 (24/06/2012)

The company is engaged in hotel management and other related activities.

52-Week Low:

OMR

9.90 (13/07/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

11.10%

0.16%

-2.31%

3-Month

11.10%

-1.35%

-2.69%

1-Year

11.10%

3.96%

-4.98%

5-Year

99.98%

8.18%

-10.91%

OMR 3.43 Million

Paid Up Capital:

Daily Market Performance

3.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Ali A. Al Najjar

11.0

OMR 37.71 Million

Market Capitalization:

Market

GCC

13

31

415

1.37%

0.55%

0.01%

10.8

Board Members:

Basil S. Macki K. V. Vijay Raghavan Sanjeev Ghulati Hannah S. Macki

10.6

Ratio Comparison: Sector

Market

-0.05

0.83

1.00

P/E

14.39

11.61

11.59

P/B

1.37

1.93

1.51

P/R

4.61

1.02

1.43

D/Y

3.18

6.44

4.78

ROA

8.08

6.03

2.56

9.49

16.60

13.15

32.03

8.75

12.17

ROE Net Margin Current Ratio

1.62

1.05

1.24

Equity/Assets

85.16

36.35

19.49

-

81.26

62.99

Debt/Equity

OMR

Company

Beta

10.4

Auditors: PricewaterhouseCoopers

10.2

Email: cpmuscat@cpmuscat.com

10

WebSite: http://cpmuscat.com

35 30 25 20 15 10 5 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 2,800 2,600 2,400 2,200

Salem & Partners Co.

OMR '000

22.00%

Others

16.00%

2,000 1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Golden Sands Hotel Co.

62.00%

Revenues

40,000

OMR '000

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

35,000 30,000

Revenues

2,449

2,350

4.21

25,000

Gross Profit

1,421

1,401

1.43

20,000 15,000

Gen Admin Expenses

293

290

1.03

10,000

Net Profit

886

873

1.49

1,056

1,022

3.33

20

19

5.26

951

901

5.55

Current Assets

2,104

2,021

4.11

Current Liabilities

1,296

1,217

6.49

808

804

0.50

32,433

32,426

0.02

Total Liabilities

4,812

4,684

2.73

Capital

3,428

3,428

0.00

23,106

23,106

0.00

27,621

27,742

-0.44

Cash Flow From Operating Activities

777

989

-21.44

From Investing Activities

-34

-49

N/M

From Financing Activities

-1,371

-1,200

N/M

-260

N/M

5,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Account Receivable

Owners Equity

Yearly Income Data

Working Capital Total Assets

10,000 8,000

OMR '000

Q3/2011

6,000

Reserves Long Term Debts

4,000

Owners Equity

2,000

Cash Flow Data (OMR '000) 0

2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

Increase (Decrease) in Cash Net Cash Flow

-628


Hotels Management Co. International|Services & Insurance Last Closing:

OMR

1.25 (02/07/2012)

Activities

52-Week High:

OMR

1.25 (13/07/2011)

The company is engaged in all types of hotel related business and services.

52-Week Low:

OMR

1.25 (28/09/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.00%

0.16%

-2.31%

3-Month

0.00%

-1.35%

-2.69%

1-Year

0.00%

3.96%

-4.98%

5-Year

0.00%

8.18%

-10.91%

OMR 3.00 Million

Paid Up Capital:

Daily Market Performance

3.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

32

87

623

0.14%

0.05%

0.00%

1.8 Board Members:

1.6

Ratio Comparison: Sector

Market

Beta

0.00

0.83

1.00

P/E

1.76

11.61

11.59

P/B

0.35

1.93

1.51

P/R

0.40

1.02

1.43

D/Y

0.00

6.44

4.78

ROA

13.37

6.03

2.56

ROE

19.79

16.60

13.15

Net Margin

12.17

22.80

8.75

Current Ratio

1.19

1.05

1.24

Equity/Assets

67.58

36.35

19.49

Debt/Equity

13.56

81.26

62.99

Alia' T. S. Al Saeed Ahmad S. Al Mehrazi Musabbah S. Al Mutairi Rasmia N. M. Al Zadjali Yaser Al Wazzan Saad M. Al Junaibi

1.4

OMR

Company

Chairman: Mohammad T. Al Said

2.0

OMR 3.75 Million

Market Capitalization:

1.2 1

Auditors: PricewaterhouseCoopers

0.8

Email: thechedi@omantel.net.om WebSite: http://www.ghmhotels.com

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

OMR '000

Quarterly Income Data 3,500 3,300 3,100 2,900 2,700 2,500 2,300 2,100 1,900 1,700 1,500 1,300 1,100 900 700 500 300 100 -100 -300 -500

Q1/2012

Q4/2011

Q3/2011

Revenues

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Revenues

3,459

3,148

9.88

Gross Profit

1,700

1,613

5.39

235

215

9.30

1,276

1,213

5.19

1,984

3,148

-36.98

412

399

3.26

Account Receivable

1,501

1,292

16.18

Current Assets

3,941

4,874

-19.14

Current Liabilities

3,315

2,697

22.91

626

2,177

-71.24

20,000

OMR '000

Income Data (OMR '000) 16,000 12,000

Gen Admin Expenses

8,000

Net Profit

4,000

Balance Sheet Data (OMR '000) 0

2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Owners Equity

OMR '000

Yearly Income Data

Working Capital

12,000

Total Assets

15,958

14,894

7.14

10,000

Total Liabilities

5,174

5,794

-10.70

8,000

Capital

3,000

3,000

0.00

6,000

Reserves

1,000

1,000

0.00

1,462

2,646

-44.75

10,784

9,100

18.51

1,035

978

5.83

-381

-690

N/M

-1,125

N/M

Long Term Debts

4,000

Owners Equity

2,000 0

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Revenues Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow

-700 -46

-837

N/M

1,526

1,395

9.39


Interior Hotels Co.|Services & Insurance Last Closing:

OMR

0.17 (02/07/2012)

Activities

52-Week High:

OMR

0.17 (28/09/2011)

The company is engaged in all types of hotel related business and services.

52-Week Low:

OMR

0.17 (21/08/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.00%

0.16%

-2.31%

3-Month

0.00%

-1.35%

-2.69%

1-Year

0.71%

3.96%

-4.98%

5-Year

185.71%

8.18%

-10.91%

OMR 2.00 Million

Paid Up Capital:

Daily Market Performance

20.00 Million

Outstanding Shares:

Market

GCC

89

0.24

34

626

0.12%

0.05%

0.00%

0.22

Sector Rank Share

Market

-0.07

0.83

1.00

P/E

5.80

11.61

11.59

P/B

0.95

1.93

1.51

P/R

1.52

1.02

1.43

D/Y

10.00

6.44

4.78

ROA

13.34

6.03

2.56

ROE

16.31

16.60

13.15

Net Margin

12.17

26.32

8.75

Current Ratio

4.38

1.05

1.24

Equity/Assets

81.75

36.35

19.49

-

81.26

62.99

Debt/Equity

Khalaf N. S. Al Rumhi Mohammad H. Al Majali Mohammad A. A. Al Mahrooqi Saleem B. Bakhsh Salim A. Al Ismaili Khaled M. Al Ghatrifi

0.18

OMR

Sector

Beta

Board Members:

0.20

Ratio Comparison: Company

Chairman: Naser K. Al Hashar

0.26

OMR 3.40 Million

Market Capitalization:

0.16 0.14 0.12

Auditors: PricewaterhouseCoopers

0.10

Email: nizhotel@omantel.net.om WebSite: www.nizwahotel.net

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data

OMR '000

800

600

400

200

0

Q1/2012

Q4/2011

Q3/2011

Revenues

Q2/2010

Q1/2010

Net Profit

31/03/2011

Revenues

631

612

3.10

Gross Profit

223

279

-20.07

208

252

-17.46

559

999

-44.04

60

59

1.69

460

487

-5.54

2,337

2,011

16.21 50.85

Change %

Income Data (OMR '000)

4,000

OMR '000

Gross Profit

Q3/2010

31/03/2012

4,500

3,500 3,000 2,500 2,000

Gen Admin Expenses

1,500

Net Profit

1,000

Balance Sheet Data (OMR '000)

500 2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Account Receivable

Owners Equity

Current Assets Current Liabilities

534

354

Working Capital

1,803

1,657

8.81

2,400

Total Assets

4,401

3,960

11.14

2,000

Total Liabilities

1,600

Capital

1,200

Reserves

Yearly Income Data

OMR '000

Q1/2011

3-Month Financial Data

Total Assets

0

Q2/2011

610

31.80

900

122.33

705

579

21.76

3,598

3,350

7.40

Long Term Debts

800

Owners Equity

400 0

804 2,001

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Revenues Gross Profit Net Profit

126

212

-40.57

-761

190

N/M

-635

402

N/M

266

318

-16.35

From Financing Activities Increase (Decrease) in Cash Net Cash Flow


Al Kamil Power Co.|Services & Insurance Last Closing:

OMR

1.86 (02/07/2012)

Activities

52-Week High:

OMR

1.86 (28/06/2012)

The Company is engaged in building and operating a power generating station at Al Kamil in the Sharqiya Region.

52-Week Low:

OMR

1.62 (19/09/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

2.19%

-0.15%

-0.73%

1-Month

4.49%

0.16%

-2.31%

3-Month

7.51%

-1.35%

-2.69%

1-Year

7.51%

3.96%

-4.98%

5-Year

3.33%

8.18%

-10.91%

OMR 9.63 Million

Paid Up Capital:

Daily Market Performance

9.00 Million

Outstanding Shares:

Sector Rank Share

Chairman:

1.86

OMR 17.90 Million

Market Capitalization:

Market

GCC

21

51

516

0.65%

0.26%

0.01%

CEO::Navneet Kasbekar

1.85 Board Members:

1.84

Khalil A. A. Al Harthy Ajeet Walavalkar Matti K. Castren Joe Helou

1.83

Ratio Comparison: Sector

Market

0.01

0.83

1.00

P/E

6.75

11.61

11.59

P/B

1.08

1.93

1.51

P/R

0.93

1.02

1.43

D/Y

3.23

6.44

4.78

ROA

5.96

6.03

2.56

ROE

15.94

16.60

13.15

Net Margin

13.73

8.75

12.17

Current Ratio

0.75

1.05

1.24

Equity/Assets

37.39

36.35

19.49

Debt/Equity

95.47

81.26

62.99

OMR

Company

Beta

1.82

Auditors: KPMG

1.81 1.80

Email: navneet.kasbekar@alkamilpower.com

1.79

WebSite: http://www.alkamilpower.com

1,000 800 600 400 200 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data

OMR '000

National Power Al Kamil Investments Ltd.

28.74% Al Kamil Investments Ltd.

16.25%

6,000 5,800 5,600 5,400 5,200 5,000 4,800 4,600 4,400 4,200 4,000 3,800 3,600 3,400 3,200 3,000 2,800 2,600 2,400 2,200 2,000 1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Others

Q3/2011

Revenues

55.01%

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 50,000

31/03/2012

31/03/2011

Change %

5.66

OMR '000

Income Data (OMR '000) 40,000

Revenues

3,936

3,725

30,000

Gross Profit

1,053

958

9.92

20,000

Gen Admin Expenses

75

118

-36.44

521

352

48.01

Cash

2,311

2,830

-18.34

Inventories

1,230

1,202

2.33

Account Receivable

1,378

1,274

8.16

Current Assets

5,490

5,888

-6.76 10.66

Net Profit

10,000

Balance Sheet Data (OMR '000) 0

2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Current Liabilities

7,308

6,604

Working Capital

-1,818

-716

N/M

20,000

Total Assets

44,538

46,116

-3.42

16,000

Total Liabilities

-11.05

OMR '000

Yearly Income Data

12,000 8,000 4,000

27,884

31,349

Capital

9,625

9,625

0.00

Reserves

2,023

1,757

15.14

Long Term Debts

15,900

20,046

-20.68

Owners Equity

16,654

14,767

12.78

Cash Flow Data (OMR '000) 0

2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

Cash Flow From Operating Activities

1,149

2,038

-43.62

From Investing Activities

-19

-868

N/M

From Financing Activities

-225

-225

N/M

905

945

-4.23

1,159

2,049

-43.44

Increase (Decrease) in Cash Net Cash Flow


Al Maha Petroleum Products Marketing Co.|Services & Insurance Last Closing:

OMR

17.00 (02/07/2012)

Activities

52-Week High:

OMR

17.00 (18/06/2012)

The company's main activity is marketing and distributing petroleum products

52-Week Low:

OMR

10.09 (09/08/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.02%

-0.15%

-0.73%

1-Month

6.25%

0.16%

-2.31%

3-Month

14.36%

-1.35%

-2.69%

1-Year

51.38%

3.96%

-4.98%

5-Year

109.08%

8.18%

-10.91%

OMR 6.90 Million

Paid Up Capital:

Daily Market Performance

6.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Noor M. Abdurrahman

17.2

OMR 117.30 Million

Market Capitalization:

Market

GCC

6

15

236

4.25%

1.70%

0.04%

Managing Director :Ibrahim S. Abdullah

16.8

Board Members:

Muneer A. Makky Rashed S. M. Al Saadi Jawhar J. Al Jawhar Omar M. B. Khalifa Hamdi M. A. El Sayed

16.4

Ratio Comparison: Sector

Market

0.21

0.83

1.00

P/E

13.01

11.61

11.59

P/B

3.55

1.93

1.51

P/R

0.42

1.02

1.43

D/Y

5.00

6.44

4.78

ROA

13.10

6.03

2.56

ROE

27.27

16.60

13.15

Net Margin

3.21

8.75

12.17

Current Ratio

1.37

1.05

1.24

Equity/Assets

48.05

36.35

19.49

-

81.26

62.99

Debt/Equity

OMR

Company

Beta

16 15.6

Auditors: Ernst & Young

15.2

Email: almaha@almaha.com.om WebSite: http://www.almaha.com.om

70,000 60,000 50,000 40,000 30,000 20,000 10,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 80,000 70,000

OMR '000

ABS Lubricants

40.00%

60,000 50,000 40,000 30,000 20,000 10,000 0

Q1/2012

Q4/2011

Others

Revenues

60.00%

70,000

OMR '000

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

60,000 50,000

Revenues

74,102

61,700

20.10

40,000

Gross Profit

6,144

5,317

15.55

30,000

Gen Admin Expenses

3,729

3,412

9.29

20,000

Net Profit

2,495

2,039

22.36

Cash

8,822

9,042

-2.43

Inventories

3,645

4,896

-25.55

Account Receivable

36,161

26,721

35.33

Current Assets

48,628

40,659

19.60

Current Liabilities

35,553

30,233

17.60

Working Capital

13,075

10,426

25.41

280,000

Total Assets

68,807

60,298

14.11

240,000

Total Liabilities

35,748

30,389

17.63

200,000

Capital

6,900

6,900

0.00

160,000

Reserves

4,404

3,466

27.06

120,000

Long Term Debts 33,059

29,909

10.53

10,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

OMR '000

Q3/2011

80,000

Owners Equity

40,000 0

Cash Flow Data (OMR '000) 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

-1,233

1,170

N/M

From Investing Activities

Cash Flow From Operating Activities

-658

-319

N/M

From Financing Activities

-2

-8

N/M

Increase (Decrease) in Cash Net Cash Flow

-1,893

843

N/M

3,401

2,831

20.13


Majan College|Services & Insurance Last Closing:

OMR

0.28 (02/07/2012)

Activities

52-Week High:

OMR

0.31 (26/10/2011)

Conducting management, sciences and academic research programs, as well as other educational programs to students in Oman.

52-Week Low:

OMR

0.26 (22/01/2012)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.35%

0.16%

-2.31%

3-Month

4.07%

-1.35%

-2.69%

1-Year

4.07%

3.96%

-4.98%

5-Year

6.03%

8.18%

-10.91%

OMR 3.00 Million

Paid Up Capital:

Daily Market Performance

30.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Abdulaziz N. A. Al Marzook

0.281

OMR 8.40 Million

Market Capitalization:

Market

GCC

30

73

596

0.31%

0.12%

0.00%

CEO::Nasr A. S. Al Hosni

0.280

Board Members:

Naser A. S. Al Hosni Amer A. S. Al Rawwas Abdullah M. H. Al Harthi Ayman A. Al Hosni Esam M. Al Mailam Mohammad A. Al Jalal

0.279

Ratio Comparison: Sector

Market

0.44

0.83

1.00

P/E

8.29

11.61

11.59

P/B

1.46

1.93

1.51

P/R

2.23

1.02

1.43

D/Y

10.68

6.44

4.78

ROA

13.62

6.03

2.56

ROE

17.59

16.60

13.15

Net Margin

12.17

26.90

8.75

Current Ratio

3.30

1.05

1.24

Equity/Assets

77.44

36.35

19.49

-

81.26

62.99

Debt/Equity

OMR

Company

Beta

0.278 0.277

Auditors: Abu Tamam Accountants

0.276

Email: info@majancollege.edu.om WebSite: http://www.majancollege.com

10,000 8,000 6,000 4,000 2,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,000

OMR '000

800

600

400

200

0

Q3/2012

Q2/2012

Q1/2012

Revenues

8,000

OMR '000

Q3/2011

Gross Profit

Q2/2011

Q1/2011

Q1/2010

Net Profit

9-Month Financial Data

Total Assets

31/05/2012

31/05/2011

Change %

964

817

17.99

Income Data (OMR '000)

7,000 6,000

Revenues

5,000

Gross Profit

4,000 3,000

Gen Admin Expenses

303

271

11.81

2,000

Net Profit

252

162

55.56

4,373

4,274

2.32

461

470

-1.91

Current Assets

4,834

4,744

1.90

Current Liabilities

1,465

1,516

-3.36

Working Capital

3,369

3,228

4.37

Total Assets

7,472

7,393

1.07

3,500

Total Liabilities

1,686

1,725

-2.26

3,000

Capital

3,000

3,000

0.00

2,500

Reserves

1,000

914

9.41

2,000

Long Term Debts 5,786

5,668

2.08

1,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

2008

2007

Cash Account Receivable

Total Liabilities

Owners Equity

Yearly Income Data

OMR '000

Q4/2011

1,500

Owners Equity

1,000

Cash Flow Data (OMR '000)

500 0

Cash Flow From Operating Activities 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

1,516

1,399

8.36

From Investing Activities

-95

23

N/M

From Financing Activities

-900

-900

N/M

523

-0.38

Increase (Decrease) in Cash Net Cash Flow

521


National Hospitality Institute|Services & Insurance Last Closing:

OMR

2.00 (02/07/2012)

Activities

52-Week High:

OMR

2.00 (13/07/2011)

The company is specialized in the Hospitality Training field.

52-Week Low:

OMR

2.00 (21/08/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.00%

0.16%

-2.31%

3-Month

0.00%

-1.35%

-2.69%

1-Year

0.00%

3.96%

-4.98%

5-Year

-20.36%

8.18%

-10.91%

OMR 0.50 Million

Paid Up Capital:

Daily Market Performance

0.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: H.H.Tarik Shabib T. Al Said

3.2

OMR 1.00 Million

Market Capitalization:

Market

GCC

38

107

645

0.04%

0.01%

0.00%

2.8

Board Members:

1.6

Awadh M. Bamkhalif Stephen R. Thomas Adil M. Bahwan York Brandes Sharif Al Bakry Imad K. Sultan Samir J. Fancy

1.2

Auditors: KPMG

2.4

Ratio Comparison: Sector

Market

0.00

0.83

1.00

-30.30

11.61

11.59

P/B

1.87

1.93

1.51

P/R

1.49

1.02

1.43

D/Y

0.00

6.44

4.78

ROA

-4.93

6.03

2.56

ROE

-6.18

16.60

13.15

Net Margin

-4.93

8.75

12.17

Current Ratio

10.02

1.05

1.24

Equity/Assets

79.82

36.35

19.49

-

81.26

62.99

P/E

Debt/Equity

OMR

Company

Beta

2

Email: nhi@ntioman.com

6 4 2 0 -2 -4 -6

WebSite: www.nhioman.com

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data

OMR '000

320

120

-80

Q1/2012

Q4/2011

Q3/2011

Revenues

1,400

OMR '000

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

1,200

200

150

33.33

800

Gross Profit

Revenues

74

36

105.56

600

Gen Admin Expenses

63

57

10.53

400

Net Profit

14

-11

N/M

-18.18

1,000

200 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Cash

18

22

Account Receivable

523

481

8.73

Current Assets

611

615

-0.65

Current Liabilities

61

64

-4.69

Working Capital

550

551

-0.18

Total Assets

669

695

-3.74

1,200

Total Liabilities

135

129

4.65

1,000

Capital

500

500

0.00

800

Reserves

124

124

0.00

600

Long Term Debts 534

566

-5.65

Yearly Income Data

OMR '000

Q2/2011

400

Owners Equity

200

Cash Flow Data (OMR '000)

0 -200

Cash Flow From Operating Activities 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

-77

-25

N/M

From Investing Activities

1

-10

N/M

From Financing Activities

50

-100

N/M

-135

N/M

Increase (Decrease) in Cash Net Cash Flow

-26


Oman Agriculture Development Co.|Services & Insurance Last Closing:

OMR

1.45 (02/07/2012)

Activities

52-Week High:

OMR

1.45 (29/11/2011)

The company is engaged in providing a wide range of dairy products as well as fresh vegetables and other agriculture products.

52-Week Low:

OMR

1.40 (13/07/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.00%

0.16%

-2.31%

3-Month

0.00%

-1.35%

-2.69%

1-Year

3.71%

3.96%

-4.98%

5-Year

14.62%

8.18%

-10.91%

OMR 1.10 Million

Paid Up Capital:

Daily Market Performance

1.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Abdullah Z. Al Baloushi

2.2

OMR 1.60 Million

Market Capitalization:

Market

GCC

37

102

640

0.06%

0.02%

0.00%

2 Board Members:

1.8

Harish Abichandani K.P. Sivaramakrishna Ibrahim K. M. Ashraf

1.6

Ratio Comparison: Sector

Market

0.02

0.83

1.00

P/E

-0.99

11.61

11.59

P/B

0.18

1.93

1.51

P/R

0.41

1.02

1.43

D/Y

0.00

6.44

4.78

ROA

0.83

6.03

2.56

ROE

1.19

16.60

13.15

Net Margin

2.71

8.75

12.17

Current Ratio

3.24

1.05

1.24

Equity/Assets

69.69

36.35

19.49

Debt/Equity

14.53

81.26

62.99

OMR

Company

Beta

1.4

Auditors: PricewaterhouseCoopers

1.2

Email: oadc@omzest.com

1

WebSite: www.omzest.com

0.8 6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

6/24

Shareholders

7/1

Quarterly Income Data 1,200 1,000

OMR '000

800 600 400 200 0 -200 -400 -600 -800

Q2/2011

Q1/2011

Q4/2010

Revenues

Q3/2010

Q2/2010

Gross Profit

Q1/2010

Q2/2009

Q1/2009

Net Profit

Half Yearly Financial Data

Total Assets 8,000

31/10/2011

31/10/2010

Change %

-28.92

OMR '000

Income Data (OMR '000) 6,000

Revenues

693

975

-146

119

N/M

Gen Admin Expenses

174

308

-43.51

Net Profit

968

-309

N/M

38,650.00

4,000

Gross Profit

2,000 0

Balance Sheet Data (OMR '000) (2,000)

2010

2009

2008

Total Liabilities

2007

2006

Cash

6,200

16

Inventories

1,135

985

15.23

435

641

-32.14

8,251

1,776

364.58 -28.73

Account Receivable

Owners Equity

Current Assets

Yearly Income Data

2,550

3,578

Working Capital

5,701

-1,802

N/M

12,638

5,878

115.01

6,000

Total Assets

5,000

Total Liabilities

3,830

6,652

-42.42

Capital

1,100

1,100

0.00

153

153

0.00

4,000

OMR '000

Current Liabilities

3,000 2,000

Reserves

1,000

Long Term Debts

1,280

1,280

0.00

Owners Equity

8,808

-774

N/M

0 -1,000 -2,000

Cash Flow Data (OMR '000) 2010

2009

2008

2007

Revenues Gross Profit Net Profit

2006

-1,726

28

N/M

From Investing Activities

Cash Flow From Operating Activities

-550

-351

N/M

From Financing Activities

8,183

270

2,930.74

Increase (Decrease) in Cash

5,907

-53

N/M

Net Cash Flow


Oman Education & Training Investment|Services & Insurance Last Closing:

OMR

0.35 (02/07/2012)

Activities

52-Week High:

OMR

0.54 (13/07/2011)

The company is engaged in providing higher education, as well as training and Consultancy services.

52-Week Low:

OMR

0.27 (24/08/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.00%

0.16%

-2.31%

3-Month

0.00%

-1.35%

-2.69%

1-Year

-35.30%

3.96%

-4.98%

5-Year

-31.50%

8.18%

-10.91%

OMR 7.00 Million

Paid Up Capital:

Daily Market Performance

70.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Mahmood M. A. Al-Jarwani

0.55

OMR 24.50 Million

Market Capitalization:

Market

GCC

18

44

483

0.89%

0.36%

0.01%

CEO::Dr. Ahmed H. Al-Hosni

0.50 Board Members:

0.45

Mohamed H. Refat Fayez M. M.Hassan Zaki H. I. Al Naseeb

0.40

Ratio Comparison: Sector

Market

0.10

0.83

1.00

62.86

11.61

11.59

P/B

2.06

1.93

1.51

P/R

2.44

1.02

1.43

D/Y

3.41

6.44

4.78

ROA

1.10

6.03

2.56

ROE

3.28

16.60

13.15

Net Margin

3.88

8.75

12.17

P/E

Current Ratio

0.79

1.05

1.24

Equity/Assets

33.56

36.35

19.49

5.90

81.26

62.99

Debt/Equity

OMR

Company

Beta

0.35 0.30

Auditors: Deloitte & Touche

0.25

Email: soharuni@omantel.net.om

0.20

WebSite: www.soharuni.edu.om

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

6/24

Shareholders

7/1

Quarterly Income Data 6,000 5,000

OMR '000

First National Co.

Sulaiman A. S. Al Hoqani

14.99%

17.64% The heirs of the late Said R. Al Aujaili

12.01%

4,000 3,000 2,000 1,000

Others

0

17.68%

-1,000

Q2/2012

Q1/2012

Q4/2011

Global Financial Investments 37.68% Co.

Revenues

OMR '000

Gross Profit

Q1/2011

Q1/2010

Net Profit

31/03/2012

31/03/2011

Change %

2,767

2,631

5.17

Gen Admin Expenses

821

670

22.54

Net Profit

-42

120

N/M

Cash

517

692

-25.29

Inventories

169

123

37.40

Account Receivable

4,966

1,860

166.99

Current Assets

5,652

2,676

111.21 108.78

32,000

Income Data (OMR '000)

28,000 24,000

Revenues

20,000

Gross Profit

16,000 12,000 8,000 4,000

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Current Liabilities

Yearly Income Data 12,000 10,000

OMR '000

Q2/2011

Half Yearly Financial Data

Total Assets

0

Q3/2011

7,155

3,427

Working Capital

-1,503

-751

N/M

Total Assets

35,559

28,651

24.11

Total Liabilities

41.34

23,627

16,716

8,000

Capital

7,000

7,000

0.00

6,000

Reserves

4,376

4,377

-0.02

Long Term Debts

4,000

Owners Equity

2,000 0

704

1,069

-34.14

11,932

11,934

-0.02

Cash Flow Data (OMR '000) 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

Cash Flow From Operating Activities

562

1,011

-44.41

From Investing Activities

-645

247

N/M

From Financing Activities

-619

-1,360

N/M

Increase (Decrease) in Cash

-703

-102

N/M

Net Cash Flow


Oman Fisheries Co.|Services & Insurance Last Closing:

OMR

0.10 (02/07/2012)

Activities

52-Week High:

OMR

0.13 (08/04/2012)

The company is engaged in fishing, trading in fish and marine life.

52-Week Low:

OMR

0.09 (10/08/2011)

Price Performance: Company

Sector

Market

0.00%

-0.54%

-0.70%

1-Week

0.97%

-0.15%

-0.73%

1-Month

-7.97%

0.16%

-2.31%

3-Month

-7.15%

-1.35%

-2.69%

1-Year

-1.89%

3.96%

-4.98%

5-Year

82.45%

8.18%

-10.91%

1-Day

OMR 12.50 Million

Paid Up Capital:

Daily Market Performance

125.00 Million

Outstanding Shares:

Sector

Share

Market

GCC

27

63

561

0.47%

0.19%

0.00%

Rank

0.112 Board Members:

0.110

Ratio Comparison: Sector

Market

0.93

0.83

1.00

P/E

13.00

11.61

11.59

P/B

0.78

1.93

1.51

P/R

0.49

1.02

1.43

D/Y

6.73

6.44

4.78

ROA

4.93

6.03

2.56

ROE

5.99

16.60

13.15

Net Margin

3.79

8.75

12.17

Current Ratio

4.60

1.05

1.24

Equity/Assets

82.29

36.35

19.49

-

81.26

62.99

Debt/Equity

Saleh N. J. Al Araimi Abdulameer S. Mohammad Salah H. N. Al Mawali Qais M. A. Al Khonji Musalam A. M. Al Amri

0.108

OMR

Company

Beta

Chairman: Mohammed H. Al Masrouri

0.114

OMR 12.50 Million

Market Capitalization:

0.106 0.104

Auditors: PricewaterhouseCoopers

0.102

Email: samak@omanfisheries.com WebSite: www.omanfisheries.com

1,200,000 1,000,000 800,000 600,000 400,000 200,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 10,000

OMR '000

8,000

Ministry of Agriculture & Fisheries

24.00%

6,000

4,000

2,000

0

-2,000

Others

Q4/2011

76.00%

Q3/2011

Q2/2011

Revenues

Q1/2011

Q4/2010

Q3/2010

Gross Profit

Q2/2010

Q1/2010

Net Profit

Yearly Financial Data

Total Assets 24,000

2011

2010

Change %

OMR '000

Income Data (OMR '000) 20,000

Revenues

16,000 12,000 8,000

17,641

49.15

5,858

4,735

23.72

Gen Admin Expenses

1,960

1,674

17.08

996

872

14.22

Cash

1,700

2,223

-23.53

Inventories

2,616

1,767

48.05

Account Receivable

2,861

2,060

38.88

15,583

11,330

37.54

Net Profit

4,000 0

26,312

Gross Profit

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Current Assets Current Liabilities

3,389

920

268.37

Working Capital

12,194

10,410

17.14

28,000

Total Assets

20,194

17,601

14.73

24,000

Total Liabilities

3,576

1,105

223.62

12,500

12,500

0.00

16,617

16,496

0.73

Yearly Income Data

OMR '000

20,000

Capital

16,000 12,000

General Reserves

8,000

Long Term Debts Owners Equity

4,000 0 -4,000

Cash Flow Data (OMR '000) 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

Cash Flow From Operating Activities

34

312

-89.10

From Investing Activities

-1,844

1,334

N/M

From Financing Activities

1,288

Increase (Decrease) in Cash Net Cash Flow

-522

1,646

N/M

1,190

818

45.48


Oman Hotels & Tourism Co.|Services & Insurance Last Closing:

OMR

2.45 (02/07/2012)

Activities

52-Week High:

OMR

3.10 (13/07/2011)

The company is engaged in hotel management and other related services.

52-Week Low:

OMR

2.45 (24/06/2012)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

-12.23%

0.16%

-2.31%

3-Month

-21.00%

-1.35%

-2.69%

1-Year

-21.00%

3.96%

-4.98%

5-Year

19.58%

8.18%

-10.91%

OMR 5.50 Million

Paid Up Capital:

Daily Market Performance

5.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

26

59

555

0.49%

0.19%

0.01%

3 Board Members:

2.9

Ratio Comparison: Sector

Market

Beta

0.00

0.83

1.00

P/E

8.80

11.61

11.59

P/B

0.51

1.93

1.51

P/R

2.16

1.02

1.43

D/Y

4.08

6.44

4.78

ROA

4.55

6.03

2.56

5.82

16.60

13.15

24.49

8.75

12.17

ROE Net Margin Current Ratio

0.58

1.05

1.24

Equity/Assets

78.10

36.35

19.49

7.17

81.26

62.99

Debt/Equity

Awad M. Bamkhalif Behram Divecha Eihab M. Hameed

2.8

OMR

Company

Chairman: Maqbool H. M. Al Saleh

3.1

OMR 13.48 Million

Market Capitalization:

2.7

Auditors: PricewaterhouseCoopers

2.6

Email: gto@omanhotels.com

2.5

WebSite: www.omanhotels.com

5,000 4,000 3,000 2,000 1,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 2,000 1,800

OMR '000

1,600 1,400 1,200 1,000 800 600 400 200 0 -200 -400

Q1/2012

Q4/2011

Q3/2011

Revenues

OMR '000

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

Change %

1,916

1,679

14.12

179

149

20.13

644

308

109.09

Cash

438

454

-3.52

Inventories

123

125

-1.60

Account Receivable

1,169

809

44.50

Current Assets

2,011

1,626

23.68 53.09

35,000

Income Data (OMR '000)

30,000 25,000

Revenues

20,000

Gross Profit

15,000

Gen Admin Expenses

10,000

Net Profit

5,000

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Current Liabilities

3,492

2,281

Working Capital

-1,481

-655

N/M

8,000

Total Assets

33,649

32,390

3.89

7,000

Total Liabilities

7,367

7,088

3.94

Capital

5,500

5,500

0.00

14,311

14,240

0.50

Yearly Income Data

6,000

OMR '000

Q1/2011

3-Month Financial Data

Total Assets

0

Q2/2011

5,000 4,000

Reserves

3,000

Long Term Debts

2,000

Owners Equity

1,000 0

1,885

2,918

-35.40

26,279

25,299

3.87

Cash Flow Data (OMR '000) 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

Cash Flow From Operating Activities

1,058

450

135.11

From Investing Activities

-82

-86

N/M

From Financing Activities

-966

-459

N/M

Increase (Decrease) in Cash Net Cash Flow

10

-94

N/M

681

511

33.27


Oman International Marketing Co.|Services & Insurance Last Closing:

OMR

0.52 (02/07/2012)

Activities

52-Week High:

OMR

0.55 (13/07/2011)

52-Week Low:

OMR

0.52 (28/06/2012)

Export and marketing of Omani products, Import of semi manufactured materials for Omani companies, and Marketing Consultancy.

Price Performance: Company

Sector

Market

0.00%

-0.54%

-0.70%

1-Week

-5.82%

-0.15%

-0.73%

1-Month

-5.82%

0.16%

-2.31%

3-Month

-5.82%

-1.35%

-2.69%

1-Year

-5.82%

3.96%

-4.98%

5-Year

-5.82%

8.18%

-10.91%

1-Day

OMR 0.50 Million

Paid Up Capital:

Daily Market Performance

0.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

40

113

651

0.01%

0.00%

0.00%

Board Members:

0.540

Market

0.00

0.83

1.00

P/E

-5.89

11.61

11.59

P/B

2.33

1.93

1.51

P/R

0.07

1.02

1.43

D/Y

0.00

6.44

4.78

ROA

-10.71

6.03

2.56

ROE

-178.38

16.60

13.15

-5.48

8.75

12.17

Net Margin Current Ratio

1.03

1.05

1.24

Equity/Assets

6.01

36.35

19.49

-

81.26

62.99

Debt/Equity

Mohammad B. Al Busaidi Loay A. Al Fadhel Abdulsamad M. Al Maskari Breek M. Al Amri

0.535

OMR

Sector

Beta

Managing Director :Loay A. Al Fadhel

0.545

Ratio Comparison: Company

Chairman: Mahmoud A. Al Kayumi

0.550

OMR 0.26 Million

Market Capitalization:

0.530

Auditors: BDO Jawad Habib

0.525

Email:

0.520

WebSite:

35,000 30,000 25,000 20,000 15,000 10,000 5,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,400

OMR '000

1,200 1,000 800 600 400 200 0 -200

Q3/2011

Q2/2011

Q1/2011

Revenues

3,500

OMR '000

Q3/2010

Gross Profit

Q2/2010

Q1/2010

Q1/2009

Net Profit

9-Month Financial Data

Total Assets

30/09/2011

30/09/2010

Change %

Income Data (OMR '000)

3,000 2,500

Revenues

1,057

959

10.22

2,000

Gross Profit

159

136

16.91

1,500

Gen Admin Expenses

127

130

-2.31

1,000

Net Profit

-1

-17

N/M

Cash

194

196

-1.02

Inventories

339

610

-44.43

Account Receivable

1,049

1,230

-14.72

Current Assets

1,738

2,229

-22.03

Current Liabilities

1,690

1,990

-15.08

48

239

-79.92

500 0

Balance Sheet Data (OMR '000) 2010

2009

2008

Total Liabilities

2007

2006

Owners Equity

Yearly Income Data

OMR '000

Q4/2010

Working Capital

6,000

Total Assets

1,848

2,339

-20.99

5,000

Total Liabilities

1,736

2,030

-14.48

4,000

Capital

500

500

0.00

3,000

Reserves

80

78

2.56

2,000

Long Term Debts 111

307

-63.84

-238

99

N/M

-9

-1

N/M

-247

97

N/M

1,000

Owners Equity

0 -1,000

Cash Flow Data (OMR '000) 2010

2009

2008

2007

2006

Cash Flow From Operating Activities From Investing Activities

Revenues Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow


Oman Medical Projects Co.|Services & Insurance Last Closing:

OMR

0.11 (02/07/2012)

Activities

52-Week High:

OMR

0.11 (01/04/2012)

The company is engaged in establishing hospitals and clinics, in addition to medical centers for its medical care services.

52-Week Low:

OMR

0.08 (13/07/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.00%

0.16%

-2.31%

3-Month

0.00%

-1.35%

-2.69%

1-Year

39.24%

3.96%

-4.98%

5-Year

124.94%

8.18%

-10.91%

OMR 8.32 Million

Paid Up Capital:

Daily Market Performance

83.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

28

68

583

0.33%

0.13%

0.00%

Board Members:

0.14

Sector

Market

0.18

0.83

1.00

-78.57

11.61

11.59

P/B

0.80

1.93

1.51

P/R

1.07

1.02

1.43

D/Y

0.00

6.44

4.78

ROA

-0.59

6.03

2.56

ROE

-1.00

16.60

13.15

Net Margin

-1.33

8.75

P/E

Current Ratio

0.72

1.05

Equity/Assets

58.86

36.35

Debt/Equity

24.79

81.26

Mohammad A. J. Sulaiman Sulaiman N. Hamada Awad M. Bamkhalef Paul Nicholson Sultan M. Al Saif Abdul Aziz A. Al Huwairini

0.12

OMR

Company

Managing Director :Christopher Evans

0.16

Ratio Comparison: Beta

Chairman: Awad M. Bamkhalef

0.18

OMR 9.16 Million

Market Capitalization:

0.10 0.08

Auditors: Grant Thornton

0.06

Email: WebSite:

35,000,000 30,000,000 25,000,000 12.17 20,000,000 1.24 15,000,000 10,000,000 5,000,000 19.49 0 62.99

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 2,400 2,200 2,000

OMR '000

1,800 1,600 1,400 1,200 1,000 800 600 400 200 0 -200 -400

Q1/2012

Q4/2011

Q3/2011

Revenues

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 20,000

31/03/2012

31/03/2011

Change %

OMR '000

Income Data (OMR '000) 16,000

Revenues

12,000 8,000

2,251

2,333

-3.51

Gross Profit

306

452

-32.30

Gen Admin Expenses

269

273

-1.47

10

147

-93.20

Cash

721

1,605

-55.08

Inventories

388

380

2.11

Account Receivable

1,741

1,964

-11.35

Current Assets

2,849

3,950

-27.87 -21.75

Net Profit

4,000

Balance Sheet Data (OMR '000) 0

2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Current Liabilities

Yearly Income Data

OMR '000

10,000

3,971

5,075

Working Capital

-1,122

-1,125

N/M

Total Assets

19,422

19,219

1.06 4.12

8,000

Total Liabilities

7,990

7,674

6,000

Capital

8,325

8,325

0.00

4,000

Reserves

10,467

10,637

-1.60

2,834

1,846

53.52

11,432

11,546

-0.99

Long Term Debts

2,000

Owners Equity

0 -2,000

Cash Flow Data (OMR '000) 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

Cash Flow From Operating Activities

187

188

-0.53

From Investing Activities

-581

-231

N/M

From Financing Activities

-1

675

N/M

-395

632

N/M

234

355

-34.08

Increase (Decrease) in Cash Net Cash Flow


Oman National Engineering & Investment Co.|Services & Insurance Last Closing:

OMR

0.39 (02/07/2012)

Activities

52-Week High:

OMR

0.44 (29/02/2012)

The company is engaged in operation and maintenance of electric power and desalination plants.

52-Week Low:

OMR

0.34 (29/11/2011)

Price Performance: Company

Sector

Market

0.00%

-0.54%

-0.70%

1-Week

0.00%

-0.15%

-0.73%

1-Month

-2.78%

0.16%

-2.31%

3-Month

0.25%

-1.35%

-2.69%

1-Day

1-Year

-9.94%

3.96%

-4.98%

5-Year

196.01%

8.18%

-10.91%

OMR 7.00 Million

Paid Up Capital:

Daily Market Performance

70.00 Million

Outstanding Shares:

Sector

Share

Market

GCC

17

40

466

0.98%

0.39%

0.01%

Rank

Board Members:

0.396

Sector

Market

0.42

0.83

1.00

P/E

12.02

11.61

11.59

P/B

1.43

1.93

1.51

P/R

0.88

1.02

1.43

D/Y

2.23

6.44

4.78

ROA

4.57

6.03

2.56

ROE

11.87

16.60

13.15

Net Margin

7.29

8.75

12.17

Current Ratio

1.31

1.05

1.24

Equity/Assets

38.52

36.35

19.49

Debt/Equity

16.89

81.26

62.99

Ahmed A. S. Al Blushi Sh. Ali A. Al Khalili Ahmad M. R. Al Sinani Qais M. A. Al Khonji Mohammad H. M. Al Harthi

0.394

OMR

Company

Managing Director :Mohammed A. M. Al Saleh

0.398

Ratio Comparison: Beta

Chairman: Aiman A. S. Al Hosni

0.400

OMR 27.30 Million

Market Capitalization:

0.392 0.390

Auditors: Ernst & Young

0.388

Email: osama.alkashif@oneic.com.om WebSite: http://www.oneic.com.om

140,000 120,000 100,000 80,000 60,000 40,000 20,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 12,000

Al Sharqia Investment Holding Co. Saud A. A. Al Khalili 10.75%

10,000

OMR '000

10.74%

Al Taher Enterprises 10.74%

Al Zawawi Trading Co.

10.74%

8,000

6,000

4,000

2,000

0

Q1/2012

Q4/2011

Others

Q3/2011

Revenues

57.01%

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Revenues

7,625

10,305

-26.01

Gross Profit

5,735

4,115

39.37

Gen Admin Expenses

309

90

243.33

Net Profit

892

792

12.63

Cash

108

100

8.00

Inventories

577

577

0.00

Account Receivable

32,812

30,607

7.20

Current Assets

33,496

31,284

7.07

60,000

OMR '000

Income Data (OMR '000) 50,000 40,000 30,000 20,000 10,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Current Liabilities

OMR '000

Yearly Income Data

Working Capital

22,430

14.28

7,864

25,632

8,854

-11.18

35,000

Total Assets

49,201

44,256

11.17

30,000

Total Liabilities

30,250

26,614

13.66

25,000

Capital

7,000

6,000

16.67

20,000

Reserves

6,727

6,625

1.54

15,000

Long Term Debts

10,000

Owners Equity

5,000 0

3,200

2,896

10.50

18,950

17,642

7.41

Cash Flow Data (OMR '000) 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

2,476

-1,027

N/M

From Investing Activities

Cash Flow From Operating Activities

-440

-548

N/M

From Financing Activities

-2,016

1,484

N/M

Increase (Decrease) in Cash Net Cash Flow

20

-90

N/M

1,353

1,216

11.27


Oman Oil Marketing Co.|Services & Insurance Last Closing:

OMR

1.80 (02/07/2012)

Activities

52-Week High:

OMR

1.81 (28/06/2012)

Marketing of petroleum products, aviation and assorted automotive and industrial lubricants.

52-Week Low:

OMR

1.40 (03/07/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

6.82%

0.16%

-2.31%

3-Month

7.78%

-1.35%

-2.69%

1-Year

28.57%

3.96%

-4.98%

5-Year

97.80%

8.18%

-10.91%

OMR 6.45 Million

Paid Up Capital:

Daily Market Performance

64.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

7

16

240

4.21%

1.68%

0.04%

Board Members:

1.78

Sector

Market

0.30

0.83

1.00

14.32

11.61

11.59

P/B

3.63

1.93

1.51

P/R

0.41

1.02

1.43

D/Y

3.44

6.44

4.78

P/E

ROA

11.45

6.03

2.56

ROE

25.33

16.60

13.15

2.83

8.75

12.17

Net Margin

Khamis M. Al Amry Assilah Z. Al Harthy Amal S. Bahwan Ahmed A. Al Rawas Abdulkader D. Al Balushi Rawan A. Al-Said Saleem P. B. Al Raisi

1.76

Current Ratio

1.38

1.05

1.24

Equity/Assets

45.20

36.35

19.49

Debt/Equity

12.33

81.26

62.99

OMR

Company

CEO::Omar A. Qattan

1.80

Ratio Comparison: Beta

Chairman: Salem A. Al Rawwas

1.82

OMR 116.10 Million

Market Capitalization:

1.74 1.72

Auditors: Deloitte & Touche

1.70

Email: qatanoa@oomco.com

16,000 14,000 12,000 10,000 8,000 6,000 4,000 2,000 0

WebSite: www.oomco.com

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 80,000 70,000

39.58%

OMR '000

Others

Civil Service Employees Pension Fund Dhofar International Development & 6.42% Investment Holding Co.

60,000 50,000 40,000 30,000

5.00%

20,000 10,000 0

Q1/2012

Q4/2011

Oman Oil Co.

Revenues

49.00%

80,000

OMR '000

Q2/2011

Q1/2011

Gross Profit

Q4/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

70,000 60,000

Revenues

71,031

62,852

13.01

50,000

Gross Profit

5,860

5,194

12.82

30,000

Gen Admin Expenses

3,258

2,565

27.02

20,000

Net Profit

1,882

1,873

0.48

14,980

13,483

11.10

3,797

3,858

-1.58

Account Receivable

28,443

24,254

17.27

Current Assets

47,220

41,595

13.52

Current Liabilities

34,234

32,712

4.65

Working Capital

12,986

8,883

46.19

280,000

Total Assets

70,829

62,103

14.05

240,000

Total Liabilities

38,815

34,196

13.51

200,000

Capital

6,450

6,450

0.00

160,000

Reserves

2,150

2,150

0.00

120,000

Long Term Debts

3,948

906

335.76

32,015

27,907

14.72

40,000

10,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Owners Equity

Yearly Income Data

OMR '000

Q3/2011

80,000

Owners Equity

40,000 0

Cash Flow Data (OMR '000) 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

-1,983

-3,011

N/M

From Investing Activities

Cash Flow From Operating Activities

-737

-1,169

N/M

From Financing Activities

-3,302

906

N/M

Increase (Decrease) in Cash

-6,022

-3,274

N/M

2,978

2,748

8.37

Net Cash Flow


Oman Orix Leasing Co.|Services & Insurance Last Closing:

OMR

0.12 (02/07/2012)

Activities

52-Week High:

OMR

0.14 (13/03/2012)

The company is engaged in providing lease financing transaction of all types movables and immovable assets.

52-Week Low:

OMR

0.08 (13/07/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

7.40%

-0.15%

-0.73%

1-Month

8.41%

0.16%

-2.31%

3-Month

-3.34%

-1.35%

-2.69%

1-Year

45.00%

3.96%

-4.98%

5-Year

-11.52%

8.18%

-10.91%

OMR 16.78 Million

Paid Up Capital:

Daily Market Performance

167.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Khaled H. Al Mawali

0.118

OMR 20.13 Million

Market Capitalization:

Market

GCC

19

48

505

0.71%

0.28%

0.01%

CEO::Hira Lal Bharvani

0.116

Board Members:

Tariq R. Al Majid Syed S. Reza Ravi Shankar Rawan Al Saeed Kazuhito Inoue

0.114

Ratio Comparison: Sector

Market

0.01

0.83

1.00

P/E

6.95

11.61

11.59

P/B

0.94

1.93

1.51

P/R

2.67

1.02

1.43

D/Y

10.78

6.44

4.78

ROA

3.74

6.03

2.56

ROE

13.52

16.60

13.15

Net Margin

12.17

38.34

8.75

Current Ratio

0.03

1.05

1.24

Equity/Assets

27.67

36.35

19.49

Debt/Equity

61.34

81.26

62.99

OMR

Company

Beta

0.112 0.110

Auditors: KPMG

0.108

Email: orixom@omantel.net.om WebSite: www.omanorix.com

180,000 160,000 140,000 120,000 100,000 80,000 60,000 40,000 20,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 2,000 1,800

15.70%

ORIX Corporation (Japan)

1,600

OMR '000

Others

12.30% ORIX Leasing Pakistan Ltd.

11.60%

1,400 1,200 1,000 800 600

Majid Al Futtaim Trust

400

25.40%

200 0

Q1/2012

Oman National Investment Corp. Holding 35.00%

Q4/2011

Revenues

80,000

OMR '000

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

70,000 60,000

Revenues

1,980

1,683

17.65

50,000

Gross Profit

1,446

1,167

23.91

610

580

5.17

751

566

32.69

Cash

245

338

-27.51

Account Receivable

562

842

-33.25

1,194

1,230

-2.93

41,370

30,389

36.13

40,000 30,000

Gen Admin Expenses

20,000

Net Profit

10,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Current Assets

Owners Equity

Current Liabilities Working Capital

-40,176

-29,159

N/M

Total Assets

74,739

61,994

20.56

7,000

Total Liabilities

54,056

42,010

28.67

6,000

Capital

16,775

16,775

0.00

5,000

Reserves

1,811

1,550

16.84

4,000

Long Term Debts

12,686

11,621

9.16

3,000

Owners Equity

20,683

19,984

3.50

N/M

Yearly Income Data

OMR '000

Q3/2011

2,000

Cash Flow Data (OMR '000)

1,000 0

Cash Flow From Operating Activities 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

-2,321

-636

From Investing Activities

-6

-3

N/M

From Financing Activities

2,461

1,023

140.57

134

384

-65.10

1,556

1,271

22.42

Increase (Decrease) in Cash Net Cash Flow


Oman United Insurance Co.|Services & Insurance Last Closing:

OMR

0.15 (02/07/2012)

Activities

52-Week High:

OMR

0.20 (18/04/2012)

To provide all types of insurance including life and medical insurance.

52-Week Low:

OMR

0.10 (09/08/2011)

Price Performance: Company

1-Day

Sector

Market

-1.32%

-0.54%

-0.70%

-0.15%

-0.73%

1-Week

4.16%

1-Month

-7.41%

0.16%

-2.31%

3-Month

-9.64%

-1.35%

-2.69%

1-Year

19.04%

3.96%

-4.98%

5-Year

-34.50%

8.18%

-10.91%

OMR 10.00 Million

Paid Up Capital:

Daily Market Performance

100.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

24

55

540

0.54%

0.22%

0.01%

Board Members:

0.164

Market

1.77

0.83

1.00

P/E

6.02

11.61

11.59

P/B

0.72

1.93

1.51

P/R

0.45

1.02

1.43

D/Y

5.00

6.44

4.78

ROA

3.14

6.03

2.56

ROE

11.97

16.60

13.15

7.55

8.75

12.17

Net Margin Current Ratio

1.02

1.05

1.24

Equity/Assets

26.26

36.35

19.49

Saud A. Al Nahari Naser S. Al Busaidi Naser K. Al Hashar Khaled M. Al Busaidi Mustafa A. Salman Salem A. Al Busaidi Alla'a A. A. Al Duqaish

0.160

OMR

Sector

Beta

CEO::Ravi Shankar

0.168

Ratio Comparison: Company

Chairman: Salim N. Al Busaidi

0.172

OMR 15.00 Million

Market Capitalization:

0.156 0.152

Auditors: KPMG

0.148

Email: admin@ouic.com.om

1,200,000 1,000,000 800,000 600,000 400,000 200,000 0

WebSite: www.ouic-oman.com

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 14,000

OMR '000

12,000

Salem N. Al Busaidi

30.70%

10,000 8,000 6,000 4,000 2,000 0 -2,000

Q1/2012

Others

Q4/2011

69.30%

Gross Premiums

OMR '000

80,000

Q1/2011

Q3/2010

Underwriting Profit

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

Change %

12,516

9,794

27.79

693

671

3.28

1,744

363

380.44

Income Data (OMR '000)

70,000 60,000

Gross Premiums

50,000

Underwriting Profit

40,000 30,000

Gen Admin Expenses

20,000

Net Profit

10,000

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

2,565

1,760

45.74

Account Receivable

Cash

10,895

9,843

10.69

Current Assets

47,474

45,235

4.95

Current Liabilities

46,489

43,668

6.46

Working Capital

985

1,567

-37.14

Total Assets

79,283

72,819

8.88

35,000

Total Liabilities

58,465

53,728

8.82

30,000

Capital

10,000

10,000

0.00

8,875

7,882

12.60

20,818

19,091

9.05

Yearly Income Data

25,000

OMR '000

Q2/2011

3-Month Financial Data

Total Assets

0

Q3/2011

Reserves

20,000

Owners Equity

15,000

Cash Flow Data (OMR '000)

10,000

Cash Flow From Operating Activities

5,000 0 -5,000

2011

2010

2009

2008

2007

-1,351

-2,263

N/M

From Investing Activities

3,669

-1,438

N/M

From Financing Activities

-750

Increase (Decrease) in Cash Gross Premiums Underwriting Profit

Net Profit

Net Cash Flow

1,568 936

-3,700

N/M

488

91.80


Port Services Corporation|Services & Insurance Last Closing:

OMR

0.40 (02/07/2012)

Activities

52-Week High:

OMR

0.57 (29/02/2012)

Operation, maintenance, and investment of Sultan Qaboos Port.

52-Week Low:

OMR

0.38 (13/11/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

3.62%

-0.15%

-0.73%

1-Month

2.56%

0.16%

-2.31%

3-Month

-5.89%

-1.35%

-2.69%

1-Year

-20.16%

3.96%

-4.98%

5-Year

-23.20%

8.18%

-10.91%

OMR 9.50 Million

Paid Up Capital:

Daily Market Performance

95.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Mohammed J. H. Sulaiman

0.400

OMR 38.02 Million

Market Capitalization:

Market

CEO::Saud A. Al Nahari

GCC

12

30

414

1.38%

0.55%

0.01%

0.396

Board Members:

Issa S. S. Al Kayoumi Khalid H. Al Maawali Ahmed S. S. Bahwan Engr. Qasim A. A. Al Shizawi Hamood M. A. Al Mashani

0.392

Ratio Comparison: Sector

Market

0.76

0.83

1.00

P/E

9.15

11.61

11.59

P/B

1.25

1.93

1.51

P/R

2.00

1.02

1.43

D/Y

12.50

6.44

4.78

ROA

9.04

6.03

2.56

ROE

13.63

16.60

13.15

Net Margin

12.17

21.86

8.75

Current Ratio

0.65

1.05

1.24

Equity/Assets

66.28

36.35

19.49

-

81.26

62.99

Debt/Equity

OMR

Company

Beta

0.388

Auditors: Deloitte & Touche

0.384

Email: execpr@pscoman.com WebSite: www.pscoman.com

350,000 300,000 250,000 200,000 150,000 100,000 50,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 10,000

Government of Sultanate Oman

OMR '000

8,000

35.40% Mustahil A. Al Ma'shani

6.00%

Sultanate Oman Police Pension Fund

6,000

4,000

5.00% 2,000

0

Q1/2012

Q4/2011

Others

Q3/2011

Revenues

53.60%

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 50,000

31/03/2012

31/03/2011

Change %

OMR '000

Income Data (OMR '000) 40,000

Revenues

5,097

5,158

-1.18

30,000

Gross Profit

2,614

3,021

-13.47

20,000

Gen Admin Expenses

194

192

1.04

1,346

1,538

-12.48

2,680

4,476

-40.13

342

333

2.70

Account Receivable

1,598

1,497

6.75

Current Assets

8,813

9,018

-2.27

Current Liabilities

13,625

15,641

-12.89

Working Capital

-4,812

-6,623

N/M

28,000

Total Assets

45,969

47,831

-3.89

24,000

Total Liabilities

15,502

17,306

-10.42

20,000

Capital

9,504

9,504

0.00

16,000

Reserves

9,108

8,567

6.31

12,000

Long Term Debts 30,467

30,525

-0.19

1,610

1,831

-12.07

101

-283

N/M

1,711

1,543

Net Profit

10,000

Balance Sheet Data (OMR '000) 0

2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Owners Equity

OMR '000

Yearly Income Data

8,000

Owners Equity

4,000 0

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Revenues Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow

-5 10.89


Renaissance Services Co.|Services & Insurance Last Closing:

OMR

0.48 (02/07/2012)

Activities

52-Week High:

OMR

0.90 (11/07/2011)

52-Week Low:

OMR

0.45 (19/01/2012)

The company is engaged in investing in commercial activities, real estate, in addition to computer hardware,communication, medical equipment, along with providing the necessary related training services.

Price Performance: Company

1-Day 1-Week

Sector

Market

-3.04%

-0.54%

-0.70%

-5.89%

-0.15%

-0.73%

1-Month

-8.23%

0.16%

-2.31%

3-Month

-19.33%

-1.35%

-2.69%

1-Year

-43.20%

3.96%

-4.98%

5-Year

-3.62%

8.18%

-10.91%

OMR 28.21 Million

Paid Up Capital:

Daily Market Performance

282.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Samir J. Fancy

0.53

OMR 135.41 Million

Market Capitalization:

Market

CEO::Stephen R. Thomas

GCC

4

13

211

4.91%

1.96%

0.05%

0.52

Board Members:

H.H. Tarik S. T. Al Said Yeshwant Desai Sunder George Collin Rutherford Ekaterina A. Sharashidze

0.51

Ratio Comparison: Sector

Market

1.44

0.83

1.00

P/E

-117.07

11.59

11.58

P/B

0.81

1.92

1.51

P/R

0.46

1.01

1.42

D/Y

2.50

6.44

4.78

ROA

-0.18

6.03

2.56

ROE

-0.69

16.60

13.15

Net Margin

12.17

-0.39

8.75

Current Ratio

0.90

1.05

1.24

Equity/Assets

26.19

36.35

19.49

161.96

81.26

62.99

Debt/Equity

OMR

Company

Beta

0.50

Auditors: KPMG

0.49

Email: tawoosho@omantel.net.om WebSite: www.renaissance-oman.com

1,000,000 800,000 600,000 400,000 200,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 100,000

OMR '000

80,000

Al Tawoos Co.

15.08%

60,000

40,000

20,000

0

Others

84.92%

-20,000

Q1/2012

Q4/2011

Q3/2011

Revenues

700,000

OMR '000

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

600,000 500,000

Revenues

72,017

68,284

5.47

400,000

Gross Profit

14,226

17,173

-17.16

300,000

Gen Admin Expenses

7,408

7,703

-3.83

200,000

Net Profit

782

935

-16.36

Cash

23,599

37,243

-36.64

Inventories

14,451

21,685

-33.36

Account Receivable

103,483

105,070

-1.51

Current Assets

141,756

169,575

-16.41

Current Liabilities

157,310

152,483

3.17

Working Capital

-15,554

17,092

N/M

Total Assets

639,364

613,812

4.16

Total Liabilities

5.75

100,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data 320,000 280,000

444,045

419,913

200,000

Capital

28,209

28,209

0.00

160,000

Reserves

14,670

10,099

45.26

Long Term Debts

271,218

250,387

8.32

Owners Equity

167,464

169,610

-1.27

240,000

OMR '000

Q2/2011

120,000 80,000 40,000 0 -40,000

Cash Flow Data (OMR '000) 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

Cash Flow From Operating Activities

7,043

3,481

102.33

From Investing Activities

-6,681

-17,033

N/M

From Financing Activities

-13,926

26,922

N/M

Increase (Decrease) in Cash

-13,563

13,370

N/M

Net Cash Flow


Sahara Hospitality Services Co.|Services & Insurance Last Closing:

OMR

2.45 (02/07/2012)

Activities

52-Week High:

OMR

2.45 (01/04/2012)

52-Week Low:

OMR

2.35 (13/07/2011)

The company is engaged in owning buildings and operating residential accomodations for contractors of Oman Petroleum Development Co. in Fahud and Nimr area.

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.00%

0.16%

-2.31%

3-Month

0.00%

-1.35%

-2.69%

1-Year

4.25%

3.96%

-4.98%

5-Year

36.11%

8.18%

-10.91%

OMR 5.83 Million

Paid Up Capital:

Daily Market Performance

5.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

25

57

549

0.52%

0.21%

0.01%

3.6 Board Members:

3.2

Ratio Comparison: Sector

Market

Beta

0.01

0.83

1.00

P/E

7.73

11.59

11.58

P/B

1.19

1.92

1.51

P/R

1.56

1.01

1.42

D/Y

5.72

6.44

4.78

ROA

6.77

6.03

2.56

ROE

15.33

16.60

13.15

Net Margin

12.17

20.19

8.75

Current Ratio

1.05

1.05

1.24

Equity/Assets

44.15

36.35

19.49

Debt/Equity

84.08

81.26

62.99

Abdulmunim Q. Al Zawawi Sasi Madatel Ramesh Kumar K. Rajagopalan Yaseen H. Abdullatif K. S. Vizrotan

2.8

OMR

Company

Chairman: Talal Q. Al Zawawi

4.0

OMR 14.29 Million

Market Capitalization:

2.4 2

Auditors: Moore Stephens

1.6

Email: saharaom@omantel.net.om WebSite: www.sahara.com.om

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

6/24

Shareholders

7/1

Quarterly Income Data 3,200 3,000 2,800

OMR '000

2,600 2,400 2,200 2,000 1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q2/2012

Q1/2012

Q4/2011

Revenues

28,000

OMR '000

Q2/2011

Gross Profit

Q1/2011

Q2/2010

Q1/2010

Net Profit

Half Yearly Financial Data

Total Assets

31/05/2012

31/05/2011

Change %

Income Data (OMR '000)

24,000 20,000

Revenues

3,140

1,929

62.78

16,000

Gross Profit

1,087

856

26.99

12,000

Gen Admin Expenses

85

79

7.59

517

426

21.36

590

450

31.11

10

14

-28.57

Account Receivable

4,634

2,167

113.84

Current Assets

5,234

2,631

98.94

8,000

Net Profit

4,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

2008

2007

Cash Inventories

Total Liabilities

Owners Equity

Current Liabilities

Yearly Income Data

Working Capital

2,611

90.39

263

4,971

20

1,215.00

8,000

Total Assets

27,307

21,055

29.69

7,000

Total Liabilities

15,250

10,030

52.04

Capital

5,833

5,833

0.00

4,000

Reserves

1,183

998

18.54

3,000

Long Term Debts

10,137

7,083

43.12

2,000

Owners Equity

12,057

11,025

9.36

418

1,073

-61.04

-1,563

-3,501

N/M -3.14

6,000

OMR '000

Q3/2011

5,000

1,000 0

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Revenues Gross Profit Net Profit

From Financing Activities

1,359

1,403

Increase (Decrease) in Cash

214

-1,025

N/M

Net Cash Flow

886

1,478

-40.05


Salalah Beach Resort|Services & Insurance Last Closing:

OMR

1.43 (02/07/2012)

Activities

52-Week High:

OMR

1.43 (21/08/2011)

The company is primarily engaged in the operation of Salalah Hilton Hotel and other related activities.

52-Week Low:

OMR

1.43 (13/07/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.00%

0.16%

-2.31%

3-Month

0.00%

-1.35%

-2.69%

1-Year

0.00%

3.96%

-4.98%

5-Year

30.00%

8.18%

-10.91%

OMR 6.25 Million

Paid Up Capital:

Daily Market Performance

6.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Mohammad Khoori

2.2

OMR 8.94 Million

Market Capitalization:

Market

GCC

29

69

588

0.32%

0.13%

0.00%

2 Board Members:

1.8

Khaled M. Al Rawas Anil Bhardwaj Richard R. O'Connor Habib M. Al Habib Narendara Keshavji

1.6

Ratio Comparison: Sector

Market

-0.01

0.83

1.00

P/E

14.37

11.59

11.58

P/B

1.06

1.92

1.51

P/R

2.62

1.01

1.42

D/Y

0.00

6.44

4.78

ROA

6.59

6.03

2.56

ROE

7.35

16.60

13.15 12.17

Net Margin

18.21

8.75

Current Ratio

2.23

1.05

1.24

Equity/Assets

89.62

36.35

19.49

-

81.26

62.99

Debt/Equity

OMR

Company

Beta

1.4 1.2

Auditors: KPMG

1

Email: salalah@hilton.com

0.8

WebSite: www.hilton.com

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,200

OMR '000

1,000

800

600

400

200

0

Q1/2012

Q4/2011

Q3/2011

Revenues

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets 10,000

31/03/2012

31/03/2011

Change %

OMR '000

Income Data (OMR '000) 8,000

1,002

998

0.40

6,000

Revenues Gross Profit

510

515

-0.97

4,000

Gen Admin Expenses

241

248

-2.82

Net Profit

254

272

-6.62

Cash

686

1,271

-46.03

Inventories

118

113

4.42

Account Receivable

324

277

16.97

2,000

Balance Sheet Data (OMR '000) 0

2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Current Assets

Yearly Income Data

1,661

-32.03

507

1,222

-58.51

Working Capital

622

439

41.69

9,437

10,181

-7.31

979

2,345

-58.25

4,000

Total Assets

3,500

Total Liabilities

3,000

OMR '000

1,129

Current Liabilities

Capital

6,250

6,250

0.00

2,000

Reserves

2,465

2,401

2.67

1,500

Long Term Debts

1,000

Owners Equity

8,457

7,836

7.92

359

331

8.46

-329

-350

N/M

2,500

500 0

660

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Revenues Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow

31

-19

N/M

372

357

4.20


Salalah Port Services Co.|Services & Insurance Last Closing:

OMR

0.46 (02/07/2012)

Activities

52-Week High:

OMR

0.52 (23/02/2012)

The company is engaged in managing Salalah Port services.

52-Week Low:

OMR

0.42 (14/05/2012)

Price Performance: Company

Sector

Market

0.00%

-0.54%

-0.70%

1-Week

-0.22%

-0.15%

-0.73%

1-Month

-2.35%

0.16%

-2.31%

3-Month

-2.35%

-1.35%

-2.69%

1-Year

-3.37%

3.96%

-4.98%

5-Year

-16.54%

8.18%

-10.91%

1-Day

OMR 17.98 Million

Paid Up Capital:

Daily Market Performance

179.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Abdulaziz A. Al Shanfari

0.470

OMR 82.73 Million

Market Capitalization:

Market

GCC

8

19

294

2.99%

1.19%

0.03%

CEO::Peter Ford

0.468

Board Members:

Hamad S. R. Al Shuraiqi Tiemen Meester Ali Redha Peder Sondergaard

0.466

Ratio Comparison: Sector

Market

-0.05

0.83

1.00

P/E

27.65

11.59

11.58

P/B

2.14

1.92

1.51

P/R

1.65

1.01

1.42

D/Y

3.27

6.44

4.78

ROA

2.39

6.03

2.56

ROE

7.75

16.60

13.15

Net Margin

5.97

8.75

12.17

Current Ratio

1.20

1.05

1.24

Equity/Assets

30.86

36.35

19.49

141.58

81.26

62.99

Debt/Equity

OMR

Company

Beta

0.464

Auditors: Ernst & Young

0.462

Email: mktg@salalahport.com

0.460

WebSite: www.salalahport.com

200 160 120 80 40 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 14,000

OMR '000

12,000

Government of Sultanate Oman

HSBC PLC IB Account

14.00%

20.10%

Ministry of Defence Pension Fund

10.00%

10,000 8,000 6,000 4,000 2,000 0

Others

25.80%

-2,000

Q1/2012

A P Moller Finance

Q4/2011

30.10%

Revenues

140,000

OMR '000

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

120,000

13,765

13,561

1.50

80,000

Revenues Gross Profit

7,238

5,753

25.81

60,000

Gen Admin Expenses

3,004

1,634

83.84

40,000

Net Profit

1,606

981

63.71

Cash

8,245

4,973

65.80

Inventories

2,437

2,776

-12.21

100,000

20,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

OMR '000

Q3/2011

Account Receivable

15,183

9,326

62.80

Current Assets

26,370

17,075

54.44

Current Liabilities

22,063

19,710

11.94

4,307

-2,635

N/M

124,880

129,405

-3.50

Working Capital

60,000

Total Assets

50,000

Total Liabilities

86,300

91,670

-5.86

40,000

Capital

17,984

17,984

0.00

30,000

Reserves

4,376

4,140

5.70

20,000 10,000 0

Long Term Debts

54,565

62,907

-13.26

Owners Equity

38,539

37,693

2.24

3,963

6,031

-34.29

-134

6,191

N/M

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Revenues Gross Profit Net Profit

From Financing Activities

-2,579

N/M

Increase (Decrease) in Cash

3,137

9,643

-67.47

Net Cash Flow

4,629

4,395

5.32

-692


Shell Oman Marketing Co.|Services & Insurance Last Closing:

OMR

2.59 (02/07/2012)

Activities

52-Week High:

OMR

2.59 (01/07/2012)

The company is engaged in production, marketing of petroleum products and blending of engine lubricating oils.

52-Week Low:

OMR

2.20 (18/07/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

2.16%

-0.15%

-0.73%

1-Month

5.67%

0.16%

-2.31%

3-Month

15.11%

-1.35%

-2.69%

1-Year

8.82%

3.96%

-4.98%

5-Year

87.00%

8.18%

-10.91%

OMR 10.00 Million

Paid Up Capital:

Daily Market Performance

100.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: John Blascos

2.60

OMR 259.00 Million

Market Capitalization:

Market

GCC

3

7

143

9.39%

3.75%

0.10%

Managing Director :Adil I. A. Al-Raisi

2.56

Board Members:

Irshad M. Al-Lawati Husam M. Al-Zubair Shabib M. Al Darmaki Zaiviji Ismail Abdulsalam M. Al Murshidi Hong Z. Wong Eshaq Z. K. Al Maawali Abdullah J. K. Al Khumaisi

2.52

Ratio Comparison: Sector

Market

0.17

0.83

1.00

P/E

21.67

11.59

11.58

P/B

11.99

1.92

1.51

P/R

0.71

1.01

1.42

D/Y

5.02

6.44

4.78

ROA

14.29

6.03

2.56

ROE

55.31

16.60

13.15

Net Margin

3.29

8.75

12.17

Current Ratio

1.01

1.05

1.24

Equity/Assets

25.83

36.35

19.49

-

81.26

62.99

Debt/Equity

OMR

Company

Beta

2.48 2.44

Auditors: Ernst & Young Email: som-csc@shell.com

35,000 30,000 25,000 20,000 15,000 10,000 5,000 0

WebSite: http://www.shelloman.com.om

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 100,000

BV Nederlands Internationale Industrien Handel Maatschappij

21.65%

80,000

OMR '000

Shell Overseas Investment BV

9.52%

Civil Service Employees Pension Fund

8.33%

BV Licht en Kracht Maatschappij

21.65%

60,000

40,000

20,000

0

Q1/2012

Q4/2011

Q3/2011

Q2/2011

Q1/2011

Q3/2010

Q2/2010

Q1/2010

Others

38.85%

Revenues

70,000

OMR '000

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

4.55

Income Data (OMR '000)

60,000 50,000

Revenues

95,673

91,509

40,000

Gross Profit

9,719

9,057

7.31

30,000

Gen Admin Expenses

6,727

5,195

29.49

Net Profit

3,369

4,022

-16.24

-27.04

20,000 10,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Yearly Income Data

Cash

3,942

5,403

Inventories

13,617

14,307

-4.82

Account Receivable

44,217

30,587

44.56

Current Assets

61,776

50,297

22.82

Current Liabilities

61,376

46,615

31.67

400

3,682

-89.14

Working Capital

400,000

Total Assets

83,638

68,593

21.93

350,000

Total Liabilities

62,036

47,240

31.32

Capital

10,000

10,000

0.00

3,587

3,587

0.00

21,602

21,353

1.17

300,000

OMR '000

Gross Profit

250,000 200,000

Reserves

150,000

Long Term Debts Owners Equity

100,000 50,000 0

Cash Flow Data (OMR '000) 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

Cash Flow From Operating Activities

4,307

1,353

218.33

From Investing Activities

-2,966

-572

N/M

From Financing Activities

-1,719

-3,008

N/M

-378

-2,227

N/M

4,915

5,408

-9.12

Increase (Decrease) in Cash Net Cash Flow


Sohar Poultry Co.|Services & Insurance Last Closing:

OMR

0.21 (02/07/2012)

Activities

52-Week High:

OMR

0.21 (21/08/2011)

The company is engaged in poultry production and other related activities.

52-Week Low:

OMR

0.21 (13/07/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.00%

0.16%

-2.31%

3-Month

0.00%

-1.35%

-2.69%

1-Year

0.00%

3.96%

-4.98%

5-Year

-84.00%

8.18%

-10.91%

OMR 3.00 Million

Paid Up Capital:

Daily Market Performance

3.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Abdulhafidh S. R. Al Ojaili

0.32

OMR 0.63 Million

Market Capitalization:

Market

GCC

39

110

648

0.02%

0.01%

0.00%

0.28

Board Members:

Ajay Rampal Salim H. Khairulla Arun Agarwala Satish sidana

0.24

Ratio Comparison: Sector

Market

0.01

0.83

1.00

P/E

4.02

11.59

11.58

P/B

0.42

1.92

1.51

P/R

0.11

1.01

1.42

D/Y

0.00

6.44

4.78

ROA

2.02

6.03

2.56

ROE

10.52

16.60

13.15

2.65

8.75

12.17

Net Margin Current Ratio

1.17

1.05

1.24

Equity/Assets

19.16

36.35

19.49

310.86

81.26

62.99

Debt/Equity

OMR

Company

Beta

0.20

Auditors: KPMG

0.16

Email: info@soharpoultry.com

0.12

WebSite: http://www.soharpoultry.com

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 1,600 1,400

OMR '000

1,200 1,000 800 600 400 200 0 -200

Q3/2011

Q2/2011

Q3/2011

Q3/2010

Gross Profit

12,000

OMR '000

Q1/2010

Q4/2009

Net Profit

9-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

10,000 8,000

Gross Profit

604

538

12.27

6,000

Gen Admin Expenses

244

239

2.09

4,000

Net Profit

-45

138

N/M

Cash

236

248

-4.84

Inventories

472

490

-3.67

Account Receivable

1,103

978

12.78

Current Assets

1,810

1,716

5.48

Current Liabilities

1,546

2,010

-23.08

2,000

Balance Sheet Data (OMR '000)

0 (2,000)

2010

2009

2008

Total Liabilities

2007

2006

Owners Equity

Working Capital

Yearly Income Data

Total Assets

264

-294

N/M

7,639

8,058

-5.20

Total Liabilities

6,175

6,748

-8.49

2,000

Capital

3,000

3,000

0.00

1,500

Reserves

2

2

0.00

Long Term Debts

4,551

4,666

-2.46

Owners Equity

1,464

1,310

11.76

Cash Flow From Operating Activities

404

1,039

-61.12

From Investing Activities

-79

-142

N/M

From Financing Activities

-238

-718

N/M

87

180

-51.67

698

1,004

-30.48

3,000 2,500

OMR '000

Q2/2010

1,000 500 0 -500

Cash Flow Data (OMR '000)

-1,000 -1,500 -2,000

2010

2009

2008

Gross Profit Net Profit

2007

2006

Increase (Decrease) in Cash Net Cash Flow


United Power Co.|Services & Insurance Last Closing:

OMR

1.14 (02/07/2012)

Activities

52-Week High:

OMR

1.30 (01/08/2011)

52-Week Low:

OMR

0.99 (20/11/2011)

The company is engaged in owning and operating Power Generation Plant in Manh area, and electric power transmission from Manh to Muscat.

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

1.60%

0.16%

-2.31%

3-Month

-7.08%

-1.35%

-2.69%

1-Year

-10.71%

3.96%

-4.98%

5-Year

55.51%

8.18%

-10.91%

OMR 15.69 Million

Paid Up Capital:

Daily Market Performance

15.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Murtadha A. Sultan

1.15

OMR 17.89 Million

Market Capitalization:

Market

CEO::Zoher Karachiwala

GCC

20

50

514

0.65%

0.26%

0.01%

1.14

Board Members:

Antoine H. Georgiou C.S. Badrinath Mohammed N. Al Za'abi Ahmed M. Al Sinani Anshul Rai Arnaud de Limburg Yaseen H. A. Abdullatif Hamad L. B. Al Baloushi

1.13

Ratio Comparison: Sector

Market

0.17

0.83

1.00

P/E

12.49

11.59

11.58

P/B

0.91

1.92

1.51

P/R

1.49

1.01

1.42

D/Y

11.99

6.44

4.78

ROA

5.21

6.03

2.56

ROE

7.28

16.60

13.15

Net Margin

11.92

8.75

12.17

Current Ratio

0.46

1.05

1.24

Equity/Assets

71.56

36.35

19.49

-

81.26

62.99

Debt/Equity

OMR

Company

Beta

1.12 1.11

Auditors: KPMG Email: trapower@omantel.net.om

14,000 12,000 10,000 8,000 6,000 4,000 2,000 0

WebSite:

5/20

5/27

6/3

6/10

6/17

Shareholders

7/1

Quarterly Income Data

OMR '000

Ministry of Defence Pension Fund Al Zubair Corp. 9.11%

9.11%

6/24

National Trading Co.

9.11%

WJ Towell & Co.

9.11%

3,600 3,400 3,200 3,000 2,800 2,600 2,400 2,200 2,000 1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

MENA Infrastructure Investments Ltd.

63.56%

Q3/2011

Revenues

Q2/2011

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

2,735

3,180

-13.99

1,157

1,020

13.43

217

654

-66.82

Cash

223

4,132

-94.60

Inventories

257

264

-2.65

Account Receivable

1,977

2,250

-12.13

Current Assets

2,457

6,646

-63.03 -2.61

60,000

OMR '000

Income Data (OMR '000) 50,000

Revenues

40,000

Gross Profit

30,000

Gen Admin Expenses

20,000

Net Profit

10,000 0

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Current Liabilities

5,378

5,522

Working Capital

-2,921

1,124

N/M

14,000

Total Assets

27,553

37,271

-26.07

12,000

Total Liabilities

10,000

Capital

OMR '000

Yearly Income Data

8,000

Reserves

6,000

Long Term Debts

4,000

Owners Equity

2,000 0

7,837

8,588

-8.74

12,204

15,691

-22.22

4,068

5,230

-22.22

19,716

28,683

-31.26

1,304

1,882

-30.71

Cash Flow Data (OMR '000) 2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Revenues Gross Profit Net Profit

-3

From Financing Activities Increase (Decrease) in Cash

1,301

1,882

-30.87

Net Cash Flow

2,189

2,797

-21.74


Dhofar Power Co.|Services & Insurance Last Closing:

OMR

2.00 (02/07/2012)

Activities

52-Week High:

OMR

2.00 (13/07/2011)

The company is engaged in generating and transmitting electricity.

52-Week Low:

OMR

2.00 (13/07/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.00%

-0.54%

-0.70%

0.00%

-0.15%

-0.73%

1-Month

0.00%

0.16%

-2.31%

3-Month

0.00%

-1.35%

-2.69%

1-Year

0.00%

3.96%

-4.98%

5-Year

5.26%

8.18%

-10.91%

OMR 29.70 Million

Paid Up Capital:

Daily Market Performance

29.00 Million

Outstanding Shares:

Sector

Share

Market

GCC

10

25

359

2.15%

0.86%

0.02%

Rank

Chairman: Mohammed A. M. Al-Mahrouqi

3.2

OMR 59.40 Million

Market Capitalization:

CEO::G. Loganathan

2.8

Board Members:

Mosabbah S. Al Mutairi Carl Matacz Ahmed S. A. Al-Jahdhami Ali H. K. Al-Darei Thani M. Al-Khusaibi

2.4

Ratio Comparison: Sector

Market

0.06

0.83

1.00

P/E

17.76

11.59

11.58

P/B

1.29

1.92

1.51

P/R

0.84

1.01

1.42

D/Y

0.00

6.44

4.78

ROA

2.11

6.03

2.56

ROE

7.29

16.60

13.15

Net Margin

4.70

8.75

12.17

Current Ratio

1.20

1.05

1.24

Equity/Assets

28.93

36.35

19.49

157.43

81.26

62.99

Debt/Equity

OMR

Company

Beta

2 1.6

Auditors: PricewaterhouseCoopers

1.2

Email: dpcom@omantel.net.om WebSite: www.dpcoman.com

6 4 2 0 -2 -4 -6 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 24,000

OMR '000

20,000

Others

17.08%

16,000

12,000

8,000

4,000

Electricity Holding Co.

0

82.92%

Q1/2011

Q4/2010

Q3/2010

Revenues

160,000

OMR '000

Q1/2010

Gross Profit

Q3/2009

Q2/2009

Q1/2009

Net Profit

3-Month Financial Data

Total Assets

31/03/2011

31/03/2010

22,663

13,685

65.60

2,688

2,199

22.24

Change %

Income Data (OMR '000)

140,000 120,000

Revenues

100,000

Gross Profit

80,000 60,000

Gen Admin Expenses

696

533

30.58

40,000

Net Profit

952

653

45.79

Cash

6,823

1,854

268.02

Inventories

5,166

4,085

26.46

Account Receivable

16,406

13,071

25.51

Current Assets

28,396

19,010

49.37

Current Liabilities

23,684

17,821

32.90

4,712

1,189

296.30

20,000 0

Balance Sheet Data (OMR '000) 2010

2009

2008

Total Liabilities

2007

2006

Owners Equity

Yearly Income Data

OMR '000

Q2/2010

Working Capital

70,000

Total Assets

158,623

127,208

24.70

60,000

Total Liabilities

122,175

110,429

10.64

50,000

Capital

29,702

19,702

50.76

40,000

Reserves

10,341

2,127

386.18

30,000

Long Term Debts

72,238

74,450

-2.97

20,000

Owners Equity

45,885

24,567

86.77

2,918

-5,788

N/M

-13,746

-121

N/M

10,000 0

Cash Flow Data (OMR '000) 2010

2009

2008

2007

2006

Cash Flow From Operating Activities From Investing Activities

Revenues Gross Profit Net Profit

From Financing Activities

6,000

133.33

Increase (Decrease) in Cash

3,172

91

3,385.71

Net Cash Flow

4,254

-4,394

N/M

14,000


Oman Telecommunications Co.|Services & Insurance Last Closing:

OMR

1.33 (02/07/2012)

Activities

52-Week High:

OMR

1.43 (22/03/2012)

The company is engaged in Telecommunication, and Internet service provider.

52-Week Low:

OMR

1.01 (07/08/2011)

Price Performance: Company

1-Day 1-Week

Sector

Market

0.22%

-0.54%

-0.70%

0.30%

-0.15%

-0.73%

1-Month

0.45%

0.16%

-2.31%

3-Month

2.15%

-1.35%

-2.69%

1-Year

20.45%

3.96%

-4.98%

5-Year

12.19%

8.18%

-10.91%

OMR 75.00 Million

Paid Up Capital:

Daily Market Performance

750.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Sultan H. Al Harthy

1.34

OMR 997.50 Million

Market Capitalization:

Market

GCC

1

2

59

36.04%

14.38%

0.37%

Sector

Market

CEO::Amer A. Al Rawwas

1.33

Board Members:

Mahdi M. Al Abdawani Abdurrahim S. Al Harmi Mohammad H. Al Maskari Saud A. Al Nahari Ayman A. S. Al Hossani Matter S. Al Ma'amari

1.32

Company

Beta

0.69

0.83

1.00

P/E

8.60

11.60

11.59

P/B

2.22

1.93

1.51

P/R

2.20

1.02

1.42

D/Y

2.87

6.44

4.78

ROA

16.55

6.03

2.56

ROE

25.77

16.60

13.15

Net Margin

12.17

25.54

8.75

Current Ratio

1.09

1.05

1.24

Equity/Assets

64.22

36.35

19.49

6.48

81.26

62.99

Debt/Equity

OMR

Ratio Comparison:

1.31 1.30

Auditors: Deloitte & Touche

1.29

Email: majid.battashi@omantel.om WebSite: www.omantel.net.om

800,000 700,000 600,000 500,000 400,000 300,000 200,000 100,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 120,000

OMR '000

100,000

Others

30.00%

80,000

60,000

40,000

20,000

0

Q1/2012

Government of Sultanate Oman

Q4/2011

70.00%

Revenues

OMR '000

700,000

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

Change %

111,064

111,491

-0.38

1,568

2,105

-25.51

29,854

25,996

14.84

27,643

27,203

1.62

9,615

4,569

110.44

Income Data (OMR '000)

600,000 500,000

Revenues

400,000

Gross Profit

300,000

Gen Admin Expenses

200,000

Net Profit

100,000

Balance Sheet Data (OMR '000) 2011

2010

2009

2008

2007

Cash Inventories

69,606

59,957

16.09

Current Assets

208,042

161,615

28.73

Current Liabilities

190,836

212,459

-10.18

17,206

-50,844

N/M

Total Assets

697,842

669,829

4.18

400,000

Total Liabilities

235,864

244,854

-3.67

350,000

Capital

75,000

75,000

0.00

Reserves

59,822

70,514

-15.16

29,029

23,171

25.28

448,130

410,072

9.28

7,606

7,522

1.12

-4,799

-4,836

N/M

-1,974

1,773

N/M

833

4,459

-81.32

52,138

51,207

1.82

Total Liabilities

Account Receivable

Owners Equity

Yearly Income Data

Working Capital

500,000 450,000

OMR '000

Q2/2011

3-Month Financial Data

Total Assets

0

Q3/2011

300,000 250,000

Long Term Debts

200,000 150,000

Owners Equity

100,000

Cash Flow Data (OMR '000)

50,000 0

2011

2010

2009

2008

2007

Cash Flow From Operating Activities From Investing Activities

Revenues Gross Profit Net Profit

From Financing Activities Increase (Decrease) in Cash Net Cash Flow


Galfar Engineering & Contracting Co.|Services & Insurance Last Closing:

OMR

0.39 (02/07/2012)

Activities

52-Week High:

OMR

0.44 (12/04/2012)

52-Week Low:

OMR

0.32 (23/11/2011)

Galfar Engineering & Contracting Co. (GECS) is engaged in civil and mechanical construction, public health engineering, road construction, electrical and plumbing maintenance contracts.

Price Performance: Company

Sector

Market

1.29%

-0.54%

-0.70%

1-Week

-1.27%

-0.15%

-0.73%

1-Month

-4.88%

0.16%

-2.31%

3-Month

-4.88%

-1.35%

-2.69%

1-Year

-9.73%

3.96%

-4.98%

5-Year

0.00%

8.18%

-10.91%

1-Day

OMR 33.00 Million

Paid Up Capital:

Daily Market Performance

330.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Salem S. H. Al Araimi

0.412

OMR 128.70 Million

Market Capitalization:

Market

GCC

5

14

217

4.67%

1.86%

0.05%

CEO::Dr. Hans Erlings

0.408 Board Members:

0.404

Dr. Hamad H. M. Al Dahab Dr. Adil A. Y. Al Kindy Dr. Hatim B. S. Al Shanfari Yahya A. F. Al Araimi Budoor M. R. Al Araimi Salim A. S. Al Rawas Salman R. A. Al Araimi

0.400

Ratio Comparison: Sector

Market

1.38

0.83

1.00

P/E

22.94

11.61

11.59

P/B

1.50

1.93

1.51

P/R

0.43

1.02

1.43

D/Y

3.08

6.44

4.78

ROA

1.43

6.03

2.56

ROE

6.51

16.60

13.15

Net Margin

1.88

8.75

12.17

Current Ratio

1.04

1.05

1.24

Equity/Assets

21.89

36.35

19.49

Debt/Equity

28.67

81.26

62.99

OMR

Company

Beta

0.396 0.392 0.388

Auditors: Ernst & Young

0.384

Email: galfar@omantel.net.om

1,000,000 800,000 600,000 400,000 200,000 0

WebSite: www.galfar.com

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 100,000

13.51%

Emaar United for Investment & Projects Co.

80,000

OMR '000

Al Siraj Investment & Projects Co.

12.97%

P. Mohammed Ali

10.81%

Salem S. H. Al Araimi

19.46%

60,000

40,000

20,000

0

-20,000

Q1/2012

Q4/2011

Others

Revenues

43.24%

450,000

OMR '000

Q1/2011

Gross Profit

Q3/2010

Q2/2010

Q1/2010

Net Profit

31/03/2012

31/03/2011

Change %

Income Data (OMR '000)

400,000 350,000

Revenues

300,000 250,000 200,000 150,000 100,000

73,926

79,400

-6.89

Gross Profit

5,712

4,924

16.00

Gen Admin Expenses

2,430

2,111

15.11

Net Profit

1,702

1,358

25.33

-67.45

Balance Sheet Data (OMR '000)

50,000 2011

2010

2009

2008

2007

Cash

2,177

6,688

33,562

28,467

17.90

Account Receivable

165,304

147,417

12.13

Current Assets

252,260

249,730

1.01

Inventories Total Liabilities

Owners Equity

Current Liabilities

Yearly Income Data

246,701

-1.80

9,992

3,029

229.88

Total Assets

391,260

395,075

-0.97

Total Liabilities

305,616

311,327

-1.83

Working Capital

450,000 400,000 350,000

OMR '000

Q2/2011

3-Month Financial Data

Total Assets

0

Q3/2011

242,268

300,000

Capital

33,000

33,000

0.00

250,000

Reserves

11,101

11,085

0.14

Long Term Debts

24,554

23,229

5.70

Owners Equity

85,644

83,748

2.26

Cash Flow From Operating Activities

15,015

32,695

-54.08

From Investing Activities

-3,968

-3,228

N/M

From Financing Activities

-11,229

-24,488

N/M

-182

4,979

N/M

9,440

8,743

7.97

200,000 150,000 100,000 50,000 0

Cash Flow Data (OMR '000) 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

Increase (Decrease) in Cash Net Cash Flow


Voltamp Energy Co.|Services & Insurance Last Closing:

OMR

0.28 (02/07/2012)

Activities

52-Week High:

OMR

0.54 (05/07/2011)

The company is engaged in manufacturing, selling and distributing transformers, Low Voltage Switchgears and panels.

52-Week Low:

OMR

0.28 (02/07/2012)

Price Performance: Company

1-Day 1-Week

Sector

Market

-0.36%

-0.54%

-0.70%

-4.13%

-0.15%

-0.73%

1-Month

-15.46%

0.16%

-2.31%

3-Month

-26.58%

-1.35%

-2.69%

1-Year

-47.56%

3.96%

-4.98%

5-Year

0.00%

8.18%

-10.91%

OMR 5.50 Million

Paid Up Capital:

Daily Market Performance

55.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Qais M. Al Yousef

0.35

OMR 15.40 Million

Market Capitalization:

Market

GCC

23

53

537

0.56%

0.22%

0.01%

CEO::Alok Bhargava

0.34 Board Members:

0.33

Abdulredha M. Sultan Saibal Sen Sebastian Manavalan Mubarak S. Al Busaidi Hamad M. H. Al Waheibi

0.32

Ratio Comparison: Sector

Market

0.99

0.83

1.00

P/E

14.31

11.61

11.59

P/B

1.01

1.93

1.51

P/R

1.06

1.02

1.43

D/Y

7.17

6.44

4.78

ROA

4.46

6.03

2.56

ROE

7.05

16.60

13.15

Net Margin

7.39

8.75

12.17

Current Ratio

3.45

1.05

1.24

Equity/Assets

63.28

36.35

19.49

Debt/Equity

33.76

81.26

62.99

OMR

Company

Beta

0.31 0.30

Auditors: KPMG

0.29

Email: contact@voltampoman.com

0.28

WebSite: www.voltampoman.com

320,000 280,000 240,000 200,000 160,000 120,000 80,000 40,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data

Al Anwar Holding Co.

OMR '000

28.71%

SAPCO

10.65%

4,000 3,800 3,600 3,400 3,200 3,000 2,800 2,600 2,400 2,200 2,000 1,800 1,600 1,400 1,200 1,000 800 600 400 200 0

Q1/2012

Q4/2011

Q3/2011

Q2/2011

Q1/2011

Q3/2010

Q2/2010

Q1/2010

Others

Revenues

60.64%

Gross Profit

Net Profit

3-Month Financial Data

Total Assets 24,000

31/03/2012

31/03/2011

Change %

OMR '000

Income Data (OMR '000) 20,000

Revenues

16,000 12,000 8,000

3,683

-4.75

781

1,063

-26.53

Gen Admin Expenses

563

433

30.02

229

514

-55.45

Cash

2,782

5,891

-52.78

Inventories

4,366

2,676

63.15

Account Receivable

3,669

4,204

-12.73

11,817

12,771

-7.47

Net Profit

4,000 0

3,508

Gross Profit

Balance Sheet Data (OMR '000) 2011

2010

2009

Total Liabilities

2008

2007

Owners Equity

Current Assets

Yearly Income Data

3,421

2,788

22.70

Working Capital

8,396

9,983

-15.90

24,075

22,224

8.33

8,841

6,137

44.06

16,000

Total Assets

14,000

Total Liabilities

12,000

OMR '000

Current Liabilities

Capital

6,050

5,500

10.00

8,000

Reserves

1,738

1,538

13.00

6,000

Long Term Debts

5,144

3,201

60.70

4,000

Owners Equity

15,235

16,086

-5.29

N/M

10,000

2,000 0

Cash Flow Data (OMR '000) 2011

2010

2009

2008

Revenues Gross Profit Net Profit

2007

Cash Flow From Operating Activities

-32

-22

From Investing Activities

-36

-3,871

N/M -71.06

From Financing Activities

316

1,092

Increase (Decrease) in Cash

248

-2,801

N/M

Net Cash Flow

285

663

-57.01


Sohar Power|Services & Insurance Last Closing:

OMR

1.32 (02/07/2012)

Activities

52-Week High:

OMR

1.75 (29/08/2011)

52-Week Low:

OMR

1.31 (20/06/2012)

The company has been established to build and operate a 585 MW electricity generating station and 33 Million Imperial Gallon per Day ("MIGD") of water desalination plant at Sohar.

Price Performance: Company

Sector

Market

0.00%

-0.54%

-0.70%

1-Week

-0.38%

-0.15%

-0.73%

1-Month

-5.65%

0.16%

-2.31%

3-Month

-11.35%

-1.35%

-2.69%

1-Year

-16.45%

3.96%

-4.98%

5-Year

0.00%

8.18%

-10.91%

1-Day

OMR 27.80 Million

Paid Up Capital:

Daily Market Performance

27.00 Million

Outstanding Shares:

Sector Rank Share

Chairman: Murtadha A. Sultan

1.44

OMR 36.70 Million

Market Capitalization:

Market

GCC

14

32

416

1.33%

0.53%

0.01%

CEO::Arnaud de Limburg

1.42

Board Members:

C.S. Badrinath Johan V. Kerrebroeck Karel Breda Marc V. Haver Navneet Kasbekar Saif A. Al Harthy Sami A. K. Al Zadjali Atef A. A. Al Raeesi Joe G. Helou Jean Rappe

1.40

Ratio Comparison: Sector

Market

0.30

0.83

1.00

P/E

69.89

11.61

11.59

P/B

9.81

1.93

1.51

P/R

0.90

1.02

1.43

D/Y

0.00

6.44

4.78

ROA

0.29

6.03

2.56

ROE

14.04

16.60

13.15

Net Margin

1.29

8.75

12.17

Current Ratio

1.12

1.05

1.24

Equity/Assets

2.04

36.35

19.49

3,523.55

81.26

62.99

Debt/Equity

OMR

Company

Beta

1.38 1.36 1.34

Auditors: Deloitte & Touche

7,000 6,000 5,000 4,000 3,000 2,000 1,000 0

Email: trapower@omantel.net.om WebSite: http://www.soharpower.com/

5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 5,000

OMR '000

4,000

Private sector

Al Zubair Corp. Ministry of Defence 5.26% Pension Fund

36.84%

5.26% Sogex Oman

3,000 2,000 1,000

5.26%

0 -1,000 -2,000

Q1/2012

Q4/2011

Tractebel Parts & Repairs

Q3/2011

Q2/2011

Gross Profit

47.37%

Q1/2011

Q3/2010

Q2/2010

Q1/2010

Net Profit

3-Month Financial Data

Total Assets

31/03/2012

31/03/2011

Change %

1,214

3,313

-63.36

175

157

11.46

-1,446

547

N/M

9,495

13,392

-29.10

728

722

0.83

4,963

4,502

10.24

Current Assets

15,186

18,616

-18.43

Current Liabilities

13,512

13,172

2.58

240,000

OMR '000

Income Data (OMR '000) 200,000

Gross Profit

160,000

Gen Admin Expenses

120,000

Net Profit

80,000

Balance Sheet Data (OMR '000)

40,000 0

Cash 2011

2010

2009

2008

2007

Inventories Account Receivable

Total Liabilities

Owners Equity

Working Capital

Yearly Income Data 18,000 16,000

5,444

Total Assets

183,373

193,517

-5.24

Total Liabilities

179,627

178,562

0.60

27,800

27,800

0.00

1,630

1,431

13.91

131,992

139,281

-5.23

3,746

14,955

-74.95

-1,262

1,208

N/M

From Financing Activities

-2,972

-2,984

N/M

Increase (Decrease) in Cash

-4,234

1,776

N/M

Capital

14,000

OMR '000

1,674

-69.25

12,000

Reserves

10,000

Long Term Debts

8,000

Owners Equity

6,000

Cash Flow Data (OMR '000)

4,000 2,000 0

Cash Flow From Operating Activities 2011

2010

2009

Gross Profit Net Profit

2008

2007

From Investing Activities

Net Cash Flow


Oman Qatari Telecommunications Co. (NAWRAS)|Services & Insurance Last Closing:

OMR

0.50 (02/07/2012)

Activities

52-Week High:

OMR

0.71 (17/07/2011)

52-Week Low:

OMR

0.49 (21/05/2012)

Al Nawras Telecommunication Co. (NAWRASTEL) is mainly engaged in providing and operating mobile & fixed telephone networks and services.

Price Performance: Company

1-Day 1-Week

Sector

Market

-1.38%

-0.54%

-0.70%

-1.77%

-0.15%

-0.73%

1-Month

-4.58%

0.16%

-2.31%

3-Month

-16.50%

-1.35%

-2.69%

1-Year

-26.33%

3.96%

-4.98%

5-Year

0.00%

8.18%

-10.91%

OMR 65.09 Million

Paid Up Capital:

Market Capitalization:

Daily Market Performance

650.00 Million

Outstanding Shares:

Sector Rank Share

Market

GCC

2

4

123

11.83%

4.72%

0.12%

Board Members:

0.520

Khalil Al Emadi Saleh N. Al Riyami Saud N. F. Al Thani Dr. Shaikha S. Al Jabir Ghassan K. Al Hashar Muhanna N. Al Nuaimi

0.516

Market

Beta

1.09

0.83

1.00

P/E

7.21

11.59

11.58

P/B

2.13

1.92

1.51

P/R

1.67

1.01

1.42

D/Y

10.38

6.47

4.78

ROA

15.55

6.03

2.56

ROE

29.58

16.60

13.15

Net Margin

12.17

23.12

8.75

Current Ratio

0.85

1.05

1.24

Equity/Assets

52.57

36.35

19.49

Debt/Equity

32.58

81.26

62.99

OMR

Sector

CEO::Ross Cormack

0.524

Ratio Comparison: Company

Chairman: Amjad M. Al Busaidi

0.528

OMR 325.47 Million

0.512 0.508

Auditors:

0.504 Email: WebSite: http://www.nawras.om

1,200,000 1,000,000 800,000 600,000 400,000 200,000 0 5/20

5/27

6/3

6/10

6/17

Shareholders

6/24

7/1

Quarterly Income Data 60,000

Al Nawras Development Co.

50,000

OMR '000

14.00% Others

6.00% Ministry of Defence

Pension Fund Royal Office 5.00% Employees Pension Fund

5.00%

40,000

30,000

20,000

10,000

0

Qatar Telecommunications Co. (QTEL) 70.00%

Q1/2012

Q4/2011

Revenues

OMR '000

Q1/2011

Gross Profit

Q4/2010

Q3/2010

Q4/2009

Net Profit

31/03/2012

31/03/2011

Change %

46,834

48,137

-2.71

10,198

11,158

-8.60

9,800

12,095

-18.97

40,072

31,030

29.14

430

621

-30.76

Account Receivable

29,670

32,110

-7.60

Current Assets

70,172

63,761

10.05 -26.64

320,000

Income Data (OMR '000)

280,000 240,000

Revenues

200,000

Gross Profit

160,000

Gen Admin Expenses

120,000

Net Profit

80,000 40,000

Balance Sheet Data (OMR '000) 2011

2010

2009

Cash Inventories

Total Liabilities

Owners Equity

Current Liabilities

82,698

112,726

Working Capital

-12,526

-48,965

N/M

200,000

Total Assets

290,837

274,223

6.06

160,000

Total Liabilities

-3.63

Yearly Income Data

OMR '000

Q2/2011

3-Month Financial Data

Total Assets

0

Q3/2011

120,000

143,153

65,094

65,094

0.00

Reserves

16,680

11,929

39.83

49,813

24,609

102.42

152,880

131,070

16.64

Long Term Debts

80,000

Owners Equity

40,000 0

137,957

Capital

2011

2010

Revenues Gross Profit Net Profit

2009


CopyrightŠ 2001 - 2012,K. Zughaibi & B. Kabbani General Partnership. All Rights Reserved.

6_07-02-2012  

Dubai Financial Market Jul02,2012 Fundamental Data Price Performance Ratio Analysis April 24, 2012 Powered by: GulfBase.com

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