Al Naqaa Asia Growth Fund

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Al Naqaa Asia Growth Fund April 2016

Investment Features NAV at Inception: USD 10 3 to 5 years

Comparative Index: 50% DJ Islamic Markets Asia Pacific Large High Risk cap Index ex. Japan. 50% DJ Islamic Markets Asia Asia Pacific Pacific Small Cap Index.

Al-Naqaa Asia Growth fund allocate all funds in a foreign fund, which invests in Sharia'h compliant equities listed in Asia and in the Pacific region. The objective of the fund is to invest in Shariah compliant equities in the Asia and in the Pacific region and will attempt to outperform the benchmark composed of the Dow Jones Islamic Markets Asia Pacific ex Japan Large cap index and the Dow Jones Islamic Markets Asia Pacific Small cap index. 180 AlNaqaa

Benchmark

160

Risk High Asia Pacific Large cap 50% DJ Level: Islamic Markets Index ex. Japan. 50% DJ Islamic Markets Asia Pacific Small Cap Investment Universe: Asia Pacific Index. Equities Fund Currency: USD USD Date of Inception: 20/Dec/2005 -

20/Dec/2005 - 20/Dhu AlQidah /1426 20/Dhu AlQidah /1426

140

120

100

80

60

As of 28th of April 2016

Administration Features

In USD

14.1407

4.85

3% of invested amount, paid3% up front. Subscription Fees: of invested

amount, paid up front

April - 16

2015

2014

1.60% p.a of fund’s NAV

*

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

*

0.12%

1.80%

-1.36%

2.97%

41.41%

1.25%

3.31%

-1.58%

4.22%

65.32%

USD 1000

Minimum Subscription: USD 1000

(*)Figures are cumulative

Monday, Tuesday, & Wednesday

Announcement Days: The day that succeeds the dealing days

* *

**

-10.01%

4.84%

-10.04%

21.35%

-9.36%

5.19%

-2.05%

40.02%

2016

-6.85%

0.15%

9.00%

0.12%

--

2015

4.65%

1.06%

-0.04%

5.55%

-1.40%

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

Sheikh Abdullah AlManae Dr Mohammed Elgari Dr Abdulsattar AbuGhuda

**

(*)Fund and Benchmark performances are Cumulative

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

Shariah Committee

**

LTM

Dealing Days: Sunday, Wednesday Thursday Sunday, Monday&&Tuesday

(**)as end of April 2016

--

--

--

-2.17% -5.06% -8.42%

20% 15%

Fund

20.16%

5% 0%

--

--

-3.06%

10.08%

0.21%

-1.43%

30%

30% 29%

Fund

Benchmark

19.77%

Benchmark

25%

14.94% 14.80% 12.68% 12.88% 12.30% 11.88%

10%

--

Sector Allocation

Country Allocation 25%

--

20%

11.72% 10.04% 10.06% 8.98% 6.37% 6.85% 5.08%

2.13% 2.30% 3.3% 2.93% 2.16% 1.43% 0.74% 1.97%1.14% 0.65%0.65% 0.45% 0.0% 0.0% 0.95% 0.66% 0.0% 0.0% 0.0%

15% 10% 5%

12%

13% 11% 12% 12% 11% 10% 10% 8%

7% 7%

8% 4% 4% 3%

3% 0%

2%2%

1%

0%

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.

Saudi Fransi Capital is a Saudi Limited Company licensed by Capital Market Authority, License No. (11153/37) C.R. 1010231217. Head Office, P.O.Box 23454, Riyadh 11426, Saudi ArabiaTel: (011) 2826666- Fax: (011) 2826621