AL YUSR AMAN MULTI ASSET FUND

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AL YUSR AMAN MULTI ASSET FUND Saudi Hollandi Capital (SHC)

Fund Report– September 2015

Unit Price: 82251

YTD: 2222-

NAV: 5,057,923

Investment Strategy



Asset Class: Open

The fund invests in Murabaha, Sukuk funds and in ShariahCompliant local, regional and global equity funds issued by authorized companies ( by CMA ). The fund is a low-risk investment.



Inception Date: 04-10-2003



Fund Manager: Saudi Hollandi Capital (SHC)



Fund Classification: Growth



Fund Benchmark: SIBID -Tasi-DJ Islamic



Fund Category: Mixed Assets



Fund Currency: Riyal



Price Since Inception: SAR 10.00

Fund Objective The fund aims primarily at capital preservation and to achieve moderate returns

Statistics Analysis Performance

Year (Annualized) to date Fund Annual Return

-0.39%

8Y

-0.40%

3Y

-4.76%

5Y

-5.26%

Since Inception 1.84%

Fund Standard Deviation

32.39%

29.11%

34.52%

33.04%

123.42%

Fund Average Return

0.30%

0.24%

0.06%

-0.02%

2.25%

Fund Sharpe Ratio

-0.07

-0.08

-0.20

-0.22

-0.0013

Min. Subscription

01.111.11

Min. Redemption

0.111.11

Subscription Fee

%1..1

Redemption Fee

%1..1

Management Fee

%1...

Performance Fee

% 1.11

Management Fee Type

Per annum

Custodian Fee

%1.11

Comment Fund achieved Al Yusr Aman Multi Asset Fund , based on Sharpe ratio,among the Mutual Funds listed on Saudi Stock Market has reached a sharpe value of –0.07 by the end of the third interim 2015. The Fund invests in Murabaha, Sukuk funds and in Shariah-Compliant local, regional and global equity funds issued by authorized companies ( by CMA ). The fund is a low-risk investment . with Average Annual Return of 0.30%

While the Standard Deviation has reached 3..39% compared to .9.00% during the last year . which indicates the high of the risk level.

Asset Allocation

Sector Asset Allocation

14%

Sector allocation

Percentage

Cash

27.00%

Total Fixed Income

73.00%

,

85.43%

Total Equity Cash

Total Equity

Fund Return Versus Benchmark

Fund Return

Period

Total Fixed Income

fund

Fund Return

Months

1...-

3 Months

..32-

2 Months

..02-

0Year

3..0-

YTD

...2-

Since Inception

.....

30.00 25.00 20.00 15.00 10.00 5.00 0.00 -5.00 fund

IM

3M

6M

1Y

YTD

YSI

-0.72

-2.38

-2.16

-3.51

-2.24

25.75

fund

.

Assets & Liabilities Des- 2082

Jun-2085

Total Assets

..322.203

...32.2.2

Total Liabilities

3.

Total Equity

..322.3.2

Price Fluctuations 2085

Price Fluctuations 2015 13.1000 13.0000

.2..21

12.9000 12.8000 12.7000

...00.222

12.6000 12.5000 12.4000

Net Income

32.229

3..2.2

12.3000

Performance The Fund’s YTD reached –...2% on 31-19-.10. compared to YTD 1.02% on 31-12-.10. which indicates an Reduction in Q3 of ..32% The Risk Level in this fund is medium-low

THIRD INTERIM REPORT Argaam

FUND MANAGER: Saudi Hollandi Capital (SHC) Fund : Al Yusr Aman Multi Asset Fund

Mutual Funds Team

3