ITQAN CAPITAL Itqan fund for Murabhat and Sukuk

ITQAN CAPITAL Itqan fund for Murabhat and Sukuk Unit Price: 7,7 9,91

YTD: %7711

Investment Strategy The fund will invest primarily in the Saudi market in a diversified portfolio of high-quality Islamic short-term instruments including; commodity Murabaha-based transactions, Various kinds of Sukuk, directly or indirectly with maximum 60% of funds' net asset value .

Fund Objective The fund aims to achieve superior returns for investors in the short and medium term, that comply with shariah standards and preserve invested capital with providing a redemption techniques that attain a certain risk level.

Statistics Analysis Performance (Annualized) Fund Average Return

Fund Annual Return

Fund Standard Deviation

Fund Sharpe Ratio

Year to date

1.30%

1 year

3 years

5 Years

Since Inception

1.78%

2.26%

1.33%

1.53%

15.20%

20.33%

20.30%

7.85%

7.84%

15.81%

24.45%

45.27%

44.55%

50.90%

0.84

Fund Report– September 2015

0.75

0.40

0.13

0.11

NAV:960,340,58 

Asset Class: Open-Ended



Inception Date: 04-08-2008



Fund Manager: itqan capital



Fund Classification: Capital Preservation



Fund Benchmark: SIBID 3 months



Fund Category: Money Market



Fund Currency: Saudi Riyal



Price Since Inception: SAR 10.00

Min. Subscription

050555

Min. Redemption

10,000

Subscription Fee

% 5055

Redemption Fee

%0005

Management Fee

% 50.0

Performance Fee

% 5055

Management Fee Type

Per annum

Custodian Fee % 5055

Comment Itqan fund for Murabhat and Sukuk fund has came in the 5th position - based on Sharpe ratio- among the Mutual Funds listed on Saudi Stock Market , with value reached 0.84 by the end of the third interim 2015 The fund will invest primarily in the Saudi market in a diversified portfolio of high-quality Islamic short-term instruments including; commodity Murabaha-based transactions, Various kinds of Sukuk with Average Annual Return of 1.30% While the Standard Deviation has reached 15.81% compared to 24.45% during the last year , which indicates the decrease of the risk level.

Portfolio composition Sectors

Sector Breakdown

Percentage of NAV

Murabaha

%50

Sukuk

%.2

Funds

%0

Cash

%5

Fund Return Period

Fund Return

Fund Return Versus Benchmark

0.22%

1 Month 3Months

0.54%

6 Months

0.94%

YTD

1.77%

1 Year

2.35%

3 Year

4.83%

5 year

6.13%

Since Inception

8.09%

Assets & Liabilities Dec- 2014 Total Assets Total Liabilities

Price Fluctuations 2015 Jun-2015

23,704,300

72,307,990

84,918

15,102,727

23,619,382

57,205,263

216,161

436,183

Total Equity

Net Income

2

Performance 

The Fund’s YTD reached 1.77% on 30-09-2015 compared to YTD 0.84% on 29-3-2015 which indicates an increase in Q3 of 0.93%



The Risk Level in this fund is medium-low

Third Interim Report

Fund Manager: Itqan Capital

Argaam Plus

Fund :Itqan fund for Murabhat and Sukuk

Mutual Funds Team

3