Fund Return Fund Return

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Riyad Capital Company European Growth Fund Price

Argaam Annual Fund Report - Dec 2016

YTD

53.0748

5.37 %

Investment Strategy The fund invests its assets completely in European Growth Fund (The foreign fund), managed by Fidelity International. The Fund manager employs research tools and focuses on companies that enjoy strong fundamental factors and promising long term growth.

Fund Objective The fund aims to provide long-term capital growth within a high-risk environment through investing its assets mainly in European stocks across different sizes, sectors and European countries.

Statistics Analysis Annualized Performance

1Y

Return

5.37%

5Y

SI

7.78% 11.60% 10.24%

40,409,385.00

Asset Class:

Open

Inception Date:

12-5-1992

Fund Manager:

Riyad Capital Company

Fund Classification:

Growth

Fund Benchmark

FTSE Europe

Fund Category:

Equity

Fund Currency:

euro

Price Since Inception: 5.112 Fund SubCategory :

Non-Shariah compliant

Geographic Focus :

Europe

Min. Subscription

3Y

NAV

$

2,500 Min. Redemption $

1,000

Subscription Fee

2.00%

Redemption Fee

0.00%

Management Fee

1.50%

Performance Fee

0.00%

Management Fee Type Per annum Custodian Fee

0.10%

Comment Standard Deviation 20.36% 19.30% 16.54% 76.55%

European Growth Fund , achieved accumulated return of 5.37% at the end of year 2016 Average Return

Cumulative Performance

End of Dec2016

0.05%

0.09%

0.18%

1.00% The Fund that invests its assets completely in European Growth Fund (The foreign fund), has achieved Average Return during the Annual Report-2016 of 0.05%

1Y

3Y

5Y

IS

5.37% 25.21% 73.10% 938.24%

The fund's Standard Deviation reached 20.36% compared to 23.17% at the Annual return - 2015. which indicates a decrease in the risk level.

Geographical Allocation as of 31-Dec-2016 Country

Geographical Allocation as of

Europe (Eurozone)

45.30%

United Kingdom

39.80%

Europe (Non Eurozone)

Geographical Allocation as of 31-Dec-2016

1.20%

13.70%

45.30%

13.70% 39.80%

1.20%

Other/Cash

Top Holdings as of Company

Europe (Eurozone)

United Kingdom

Europe (Non Eurozone)

Other/Cash

Top Holdings as of

31-Dec-2016

31-Dec-2016

Percentage

ROYAL DUTCH SHELL

20.00%

SAP SE

20.00%

BRITISH AMERICAN TOB.

20.00%

DNB ASA

20.00%

PRUDENTIAL PLC

20.00%

BARCLAYS PLC

20.00%

SANOFI

20.00%

AXA SA

20.00%

SMITH & NEPHEW PLC

20.00%

PUBLICIS GROUPE SA

20.00%

ROYAL DUTCH SHELL

2

DNB ASA

SANOFI

PUBLICIS GROUPE SA

Fund Return

Fund Return

Period

Fund Return

Fund Return

IM

5.37%

1000.00%

3M

8.44%

800.00%

6M

12.76%

1Y

5.37%

200.00%

YTD

5.37%

0.00%

YSI

938.24%

600.00% 400.00%

3M

6M

1Y

YTD

YSI

Fund Return 5.37% 8.44% 12.76% 5.37% 5.37% 938.24

Price Fluctuations

Assets & Liabilities (Compared to 6 months) Dec-15

IM

Price Fluctuations 2016

Jun-16

60.00

Total Assets

531,644,206

503,206,900

50.00 40.00

Total Liabilities

17,537

11,781

30.00

20.00

Total Equity

531,626,669

503,195,119

Net Income

42,958,780

(30,115,926)

10.00 0.00

Performance The Fund’s YTD reached 5.37% on 31-12-2016 compared to YTD 9.91% on 31-12-2015 which indicates decrease in Annual return - 2016 by 4.54% The Risk Level in this fund is High

Argaam Annual Fund Report - Dec 2016

Fund Manager: Riyad Capital Company

Argaam

European Growth Fund

Mutual Funds Team 3