Saudi Fransi Emerging Markets Fixed Income Fund

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Saudi Fransi Emerging Markets Fixed Income Fund Profile Portfolio Investment October 2012 September 2015

Fund Investment Profile

Investment Features NAV at Inception: SAR 100 Comparative Index: JP Morgan EMBI Global Risk Level: High Investment Universe: Emerging Markets Fund Currency: SAR

The Fund will invest all of its assets other than cash in BNY Mellon Emerging Markets Debt Fund (Class A) which will invest in a portfolio of bonds and other debt instruments from emerging markets worldwide. The Fund’s investment’s objective is to provide capital appreciation and generate income to investors. The Fund will also aim to distribute a quarterly dividend to its unit holders which is expected to be a maximum of 5% per annum subject to the Fund Board of Directors approval.

Fund Performance (Pre-dividends)

Date of Inception: November 14th 2012 /

130

29-Dhu al-Hijja-1433

125

Administration Features

120

Subscription Fees: up to 2%

115

EMFI

Benchmark

110

Management Fees: 1.5% p.a of the Fund’s

105

NAVs

100

Minimum Subscription: SAR 2,000

95

Minimum Additional Subscription:

90

SAR 1,000

85

Valuation/Dealing Days: Tuesday& Thursday. Subscription & Redemption Cut Off:

th

The preceding business day of the dealing day before 12 noon (KSA Time)

Redemption Payment: Before the fourth business day succeeding the dealing day.

*2015 *2014 *2013 *2012

As of 30 of September 2015

NAV

In SAR

84.5713

Fund size 16.11

Fund’s Dividends (In SAR)

Mar

Jun

Sep

2015

0.50

0.50

0.50

--

0.50 1.24408 --

1.00 0.68 --

0.50 0.45 --

0.50 0.50 0.51

2014 2013 2012 May Jun

Jan

Feb

Mar

Apr

-0.55%

0.96%

0.50%

1.17%

-0.45%

-1.39% -1.03% --

1.90% -0.96% --

1.24% 1.02% --

0.97% 0.15% --

3.36% -2.84% --

Jul

Aug

Sep

Oct

-1.84%

-0.56%

-2.40%

-2.81%

--

0.82% -6.76% --

-0.51% 2.09% --

-0.23% -3.46% --

-2.37% 3.13% --

-0.10% 2.61% --

Dec

Dec

YTD

SI

--

--

-5.89%

-15.43%

-0.19% -2.46% 0.27%

-3.85% 0.27% 1.50%

-0.56% -8.84% --

-10.14% -6.25% 1.78%

Nov

(*) pre-dividends performance

Top Five Holdings

Country Allocation (%)

BRAZIL MINAS SPE REPUBLIC OF INDONESIA HUNGARIAN DEVELOPMENT PETROLEOS MEXICANOS PERUSAHAAN GAS NEGARA

Mexico

Russia

12

Turkey 9

39

Indonesia Brazil

9

Peru Hungary

8

3

4

4

4

8

Kazakhstan

Panama Others

Investing in the fund is not guaranteed. The unit price may fall, and the investor may get back less than what he invested. Dividends are subject to fluctuation. The fund may not be suitable for all investors. In case of doubts, the investor should seek advice from his investment advisor. The fund’s Terms and conditions (T&Cs) - as well as the financial statements when they are published-are available in the company’s investment centers and on SFC website and contain detailed information including the risk levels of investing in the fund. Before subscribing, the investor must carefully read the Fund’s T&Cs.

Saudi Fransi Capital is a Saudi Limited Company licensed by Capital Market Authority, License No. (11153/37) C.R. 1010231217. Head Office, P.O.Box 23454, Riyadh 11426, Saudi Arabia- Tel: (011) 2826666- Fax: (011) 2826621