Al Fursan BRIC Equities

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Al Fursan BRIC Equities October 2016 Al-Fursan BRIC Equity Trading fund is a Sharia'h compliant fund. The fund invests in equities listed in the BRIC markets. The objective of the fund is to achieve capital growth on the long range, through investing in Shari'ah compliant equity listed in the BRIC (Brazil, Russia, India and China) markets.

Investment Features NAV at Inception: USD 10 Comparative Index: Dow-Jones Islamic Market BRIC Capped

Risk Level: High 250

Investment Universe: Brazil, Russia, India & China (BRICs) Dow-Jones Islamic Market BRIC Capped Equities Fund Currency: USD Date of Inception: 18/July/2006 /22-Jumada II - 1427

18/July/2006 /22-Jumada II - 1427

AlFursan

230

Benchmark

210 190 170 150 130 110 90 70 50

Administration Features Subscription Fees: 3% of invested amount, paid up front

As of 30th of October 2016

3% of invested amount, paid up front.

13.3408

In USD

Management Fees: 1.60% p.a of fund’s NAV

9.12

October - 16

Minimum Subscription: USD 1000

* *

Dealing Days: Sunday, Wednesday & Thursday

2015

2014

-0.88%

18.15%

-10.41%

-8.60%

33.41%

-0.75%

21.65%

-10.43%

-6.53%

72.66%

(*)Figures are Cumulative

LTM

Announcement Days: The day that succeeds the dealing days

*

*

Subscription & Redemption Cut Off: Monday , Tuesday & Wednesday before 12:00 noon KSA.

**

**

**

8.81%

-4.81%

-6.32%

19.41%

12.38%

-0.03%

0.89%

44.70%

(*)Fund and Benchmark performances are Cumulative

Redemption Payment: Within maximum four Saudi business days from the dealing day.

(**)as end of October 2016

2016

-7.78%

0.66%

14.70%

3.42%

-1.99%

3.32%

3.57%

1.39%

1.80%

-0.88%

2015

4.87%

0.77%

-3.63%

7.35%

-1.58%

-2.40%

-3.51% -6.15%

-8.14%

11.37% -1.73%

--

--6.29%

Shariah Committee Country Allocation

Sheikh Abdullah AlManae Dr Mohammed Elgari Dr Abdulsattar AbuGhuda

Fund

Sector Allocation

Benchmark

26%

26% 25%

26%

25%

25%

24%

25%

25%

44%

Fund

Benchmark

41%

40%

24%

25%

50%

24%

24%

30% 18%

20%

24%

18% 13% 12% 6%

10%

23%

7%

5%

6% 5%

6%

4%

6% 2%

3%

1%

0%

1%

0%

23% China

Brazil

Russia

India

IT

Consumer Disc

Energy

Telecom

Consumer Staples

Health Care

Utilities

Industrials

Materials

Investing in the fund is not guaranteed. The unit price may fall, and investors may get back less than what they have invested, Past performance is not necessarily a guide to future performance. Changes in currency rates may have an adverse effect on the units’ value. The fund may not be suitable for all investors; in case of any doubt the investor should seek advice from his investment adviser. The Fund Terms and Conditions (as well as the fund’s financial statements), are available in the Company’s investment centers and on its website and contains detailed information including the risk levels of investing in the fund, the investor must read them prior to making his investment decision.

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