Baitk AlWaed Saudi Equity Fund

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SAUDI KUWAITI FINANCE HOUSE

Baitk AlWaed Saudi Equity Fund NAV: 43,011,981

Annual Report- 2015

YTD: (14.68)%

Unit Price: 8.2769

Investment Strategy



Asset Class: Open-Ended

The fund invests its assets mainly in Saudi equities with dividends yield, which compliant with Shariah standards.



Inception Date: 30-11-2014



Fund Manager: Riyad Capital



Fund Classification: Growth



Fund Benchmark: S&P Sharia Index



Fund Category: Equity



Fund Currency: Riyal



Price Since Inception: SAR 10.00

Fund Objective The fund aims to achieve capital growth and distribute dividends at least once in the year.

Statistics Analysis Performance 1 year (Annualized)

Fund Average Return (1.10)%

Fund Annual Return

Min. Subscription

01,111.11 Min.

Subscription Fee

% 0.11

Redemption Fee

%1.11

Management Fee

% 0..1

Performance Fee

% 1.11

Management Fee Type

Per annum

Custodian Fee

% 1.01

01,111.11

Redemption

(04.68)%

Comment Fund Standard Deviation 1..14%

The fund reached YTD with (04.68)% by the end of 0101. While the Standard Deviation has reached 1..14%.

Sector Breakdown

Portfolio Composition Sectors

Percentage of NAV

Equity %84.48 Cash %1.60

Fund Return

Period

Fund Return Fund Return

0 Month

%(6.4118)

4 Months

%(8.1811)

0 year

%(04.6.88)

Change Since Inception

%(0..040)

Top Holdings

National Shipping Company

Arabian Cement

Alinma Bank 0

Price Fluctuations 2015

Assets & Liabilities Dec- 2014 Total Assets

Dec– 2015

10,416,848

44,0.0,811

81,4.8

084,441

10,000,4.1

40,88.,601

(601,041)

(6,...,.01)

Total Liabilities Total Equity Net Income

Performance 

The Fund’s YTD reached (04.68)% on 41-00-0101 compared to YTD (0.88)% on 40-00-0104 .



The Risk Level in this fund is high.

ANNUAL REPORT 2015

FUND MANAGER: SAUDI KUWAITI FINANCE HOUSE

Argaam

Baitk AlWaed Saudi Equity Fund

Mutual Funds Team

4