Arabian Opportunities Fund

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NAV: 12.7614 USD per unit

MTD: -1.15%

Bi-Weekly Fact Sheet – 31 March 2017

YTD: 0.08%

Arabian Opportunities Fund Performance Since Inception Arabian Opportunities Fund An open-ended investment fund

S&P Pan Arab

21

Fund Objective

Arabian Opportunities Fund

18

Long term capital appreciation by investing in listed Middle East and North African equities.

15

A bottom up investment strategy considering all MENA listed companies investing in actively managed portfolios of around 30 stock picks. portfolios

are

constantly

12 9 6

reassessed,

optimized and modified according to new market conditions.

3 Sep-07 Nov-07 Jan-08 Mar-08 May-08 Jul-08 Sep-08 Nov-08 Jan-09 Mar-09 May-09 Jul-09 Sep-09 Nov-09 Jan-10 Mar-10 May-10 Jul-10 Sep-10 Nov-10 Jan-11 Mar-11 May-11 Jul-11 Sep-11 Nov-11 Jan-12 Mar-12 May-12 Jul-12 Sep-12 Nov-12 Jan-13 Mar-13 May-13 Jul-13 Sep-13 Nov-13 Jan-14 Mar-14 May-14 Jul-14 Sep-14 Nov-14 Jan-15 Mar-15 May-15 Jul-15 Sep-15 Nov-15 Jan-16 Mar-16 May-16 Jul-16 Sep-16 Nov-16 Jan-17 Mar-17

The

NAV/unit

Fund Strategy

Issue Price 10 Liquidity Bi-Weekly

Fund Performance

Base Currency US Dollar

Cumulative (%)

Fund Launch Date

MTD 1 Month 3 Months YTD 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007* Since Inception (Sept 27,2007) Annualized (%) 1 year 2 year 3 year

September 27, 2007 NAV as of 31/03/2017 USD 12.7614 Fund size as of 31/03/2017 USD 14,980,948.19 Number of Holdings 40 Benchmark S&P Pan Arab Composite Identification Codes Bloomberg Ticker

AUDIOPP AB

Zawya Code

AUDAROP.MF

Reuters Lipper ID

LP65106988

AOF

S&P Pan Arab Index

Active Performance

-1.15 -1.15 0.08 0.08 -3.78 -10.14 14.81 37.94 9.93 -6.47 12.82 18.24 -45.33 24.20 27.61

-1.64 -1.64 -0.52 -0.52 3.70 -17.17 -1.40 21.74 3.64 -12.73 11.35 13.58 -51.62 24.30 -29.44

0.50 0.50 0.60 0.60 -7.48 7.03 16.21 16.20 6.28 6.26 1.47 4.66 6.29 -0.10 57.06

2.31 -7.75 -4.73

8.59 -7.37 -8.52

-6.28 -0.38 3.79

* This figure is reflective of the period from September 27th ,2007 to December 31st , 2007. Fund Manager

Allocation By Country

Audi Capital

Cash, 12.44%

Administrator/Custodian HSBC Saudi Arabia Limited Minimum Investment

UAE, 13.61%

USD 10,000

Allocation By Sector Egypt, 12.63%

Food & Insurance, 1.5% Agriculture, 2.1% Energy & Utilities, 4.1%

Kuwait, 8.30%

Liquidity

Consumer/ Retail, 14.8%

Real Estate, 6.7%

Construction Related, 1.6% Petrochemical, Logistics & 11.8% Transportation, 2.0%

2%

Subscription:

3%

Redemption:

0%

Banking, 29.5%

Telecom, 6.6%

Fees Management:

Cash, 12.4%

Health Care, 3.0%

Qatar, 9.03%

Sunday & Tuesday

Industrial Investment 3.6%

KSA, 43.99%

Risk Indicators Contacts

AOF

S&P

Sharpe Ratio

0.063

0.016

Information Ratio

0.110

Na

Monthly Volatility

7.36%

8.18%

>John Gebeily – Head of Mena Equities | Fund Manager Phone: 966-11-2199375 / 966-56-1506327 Email: [email protected]

Audi Capital - KSA Centria Building • Prince Mohammad bin Abdulaziz Road (Tahlia) • P.O.Box 250744 • Riyadh 11391 • Saudi Arabia Phone: +966 1 2199300 • Fax: +966 1 4627942 • Email: [email protected] • www.audicapital.com

Regulated by CMA - License no. 06017-37

This update does not constitute an offer of shares and should not be relied upon by any person accruing or otherwise dealing in shares of the company. Subscription of shares in the company may only currently be made on the terms of the placing memorandum of the company. It should be noted that investment in the fund is only suitable for sophisticated investors who are aware of the risks of investing and should not be re-graced as long term. Please remember that past performance is not necessarily a guide to the future. Market and currency movements may cause the value of shares and the income from them to fluctuate and you may get back less than you invested when you decide to sell your share. The information contained herein, including any expression of opinion, has been obtained from or is based upon sources believed to be reliable, and is believed to be fair and not misleading; however, Audi Capital does not guarantee its accuracy or completeness. The information contained herein must not be reproduced in whole or in part without the prior written consent of Audi Capital.