Comment Statistics Analysis

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Al-Nefaie Investment Group Al-Nefaie Saudi Equity Trading Fund - Sharia Compliant Price

YTD

5.9856

Fund Report Q1 - Mar 2017

(3.97)%

Investment Strategy

The fund invests in Saudi-listed stocks and initial public offerings (IPOs) in compliance with Shariah standards. The Fund's internal Shariah board supervises compliance of investments

Fund Objective The fund aims to provide an opportunity for investors to participate in the Saudi stock market and to achieve capital growth in the medium term and long term, with a focus on minimal risk

NAV

1,477,817.36

Asset Class:

Open

Inception Date:

22-10-2011

Fund Manager:

Al-Nefaie Investment Group

Fund Classification:

Growth

Fund Benchmark

S&P Saudi Arabia Shariah Index

Fund Category:

Equity

Fund Currency:

Riyal

Price Since Inception: 10 Fund SubCategory :

Shariah compliant

Geographic Focus :

Saudi Arabia

RISK CATEGORY : High

Statistics Analysis Annualized Performance

Return

1Y

Min. Subscription

3Y

5Y

10,000.00 Min. Redemption

Subscription Fee

1.75%

Redemption Fee

Management Fee

1.75%

Performance Fee

2,000.00

0.50%

SI

-18.11% -17.87% -12.14% -8.20%

Management Fee Type Per annum Custodian Fee

-

Comment Standard Deviation

17.12% 18.40% 16.25% 15.43%

Average Return

-0.19% -0.22% -0.21% -0.16%

Cumulative Performance

End of Mar2017

1Y

3Y

5Y

SI

-18.11% -44.59% -47.66% -40.14%

Al-Nefaie Saudi Equity Trading Fund - Sharia Compliant , achieved accumulated return of -3.97% at the end of Q1 2017 .

The Fund that invests in Saudi-listed stocks and initial public offerings (IPOs) in compliance with Shariah standards , has achieved Average Return during the Q1 - 2017 of -0.15% The fund's Standard Deviation reached 5.91% compared to 10.27% at the Annual return - 2016 which indicates a decrease in the risk level.

Fund Return

Fund Return

Period

Fund Return

Fund Return

IM

10.00%

-1.12%

0.00%

3M

-3.97%

-10.00%

6M

6.79%

-20.00%

1Y

-18.11%

-30.00% -40.00%

YTD

-3.97%

YSI

-50.00%

-40.14%

IM

3M

6M

1Y

YTD

YSI

Fund Return -1.12% -3.97% 6.79% -18.11% -3.97% -40.14%

Performance The Fund’s YTD reached -3.97% on 31-03-2017 compared to YTD -5.6% on 31-12-2016 which indicates increase in Q1 - 2017 return by 1.63%

Price Fluctuations

Assets & Liabilities Dec-15

Price Fluctuations

Dec-16

Total Assets

1,649,375

1,592,600

Total Liabilities

17,476

45,000

Total Equity

1,631,899

1,547,600

Net Income

(534,855)

(89,981)

6.60 6.50 6.40 6.30 6.20 6.10 6.00 5.90 5.80 5.70 5.60 5.50

2

Sector Allocation as of

Sector

20-Jan-2016 Sector Allocation as of

Cash

63.86%

Transport sector

10.65%

5.01% 5.17%

5.63%

9.68%

Cement

9.68%

Industrial investment

5.63%

hotels and tourism

5.17%

Banks

5.01%

10.65%

Cash

Transport sector

63.86%

Cement

Industrial investment

hotels and tourism

Fund Report Q1 - Mar 2017

Fund Manager: Al-Nefaie Investment Group

Argaam

Al-Nefaie Saudi Equity Trading Fund - Sharia Compliant

Mutual Funds Team 3

Banks