Saudi Istithmar Equity Fund

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Saudi Istithmar Equity Fund July 2017

Investment Features NAV at Inception: SAR 1000 3 to 5 years

Comparative Index: Saudi Arabia Top 40 Index High Risk (Calculated by S&P Custom Indices) Kingdom of Saudi Arabia

The fund invests in equities listed in the Saudi market; thus, allow investors the opportunity to directly benefit from growth in vital sectors, including but not limited to: Petrochemicals, Cement, Construction, Banking, and communication. The objective of the fund is to achieve capital appreciation on the medium to long range.

1200

Saudi Istithmar

1100

Risk Level: High

Benchmark

1000

Saudi Arabia Top 40 Index (Calculated by S&P Custom Indices)

Investment Universe: Local Equities

SAR

900 800 700

600

Fund Currency: SAR

500

5 June 1993 / 15 Dhu AlHijjah 1413

Date of Inception: 5 June 1993 / 15 Dhu AlHijjah 1413

400 300

200

Administration Features

As of 30th of July 2017

3% of invested amount, paid up front.

Subscription Fees: 3% of invested

6,755

In SAR

351.65

1.75% p.a ofpaid fund’s amount, upNAV front

Management Fees: SAR 2000

July - 17

1.75% p.a of

*

fund’sdays NAV Dealing

*

Sunday, Tuesday , and Wednesday

Minimum Subscription: SAR 2000

Announcement Days

2015

-4.87%

4.47%

5.21%

-7.84%

575.54%

-4.16%

1.06%

7.49%

-16.65%

277.56%

(*)Figures are Cumulative

Dealing Monday, The day thatDays: succeeds the dealing day.

LTM

Wednesday & Thursday. Announcement Days: The day that succeeds the dealing days

2016

* *

**

**

** 69.22%

20.81%

-16.04%

47.79%

18.44%

-27.22%

5.49%

(*)Fund and Benchmark performances are Cumulative

Subscription & Redemption Cut Off: The preceding business day of the dealing day before 12 noon KSA. Redemption Payment: Within four Saudi business days from the dealing day.

-2.27% (**) as end of July 2017

2017

1.15%

-1.05%

0.42%

0.64%

-0.36%

8.95%

-4.87%

--

--

--

--

--

2016

-10.34%

-1.25%

1.51%

8.81%

-4.25%

-0.02%

-2.82%

-1.43%

-5.75%

8.53%

11.48%

2.89%

Sector Allocation

TOP FIVE HOLDINGS Banks

6%

3%

Food & Beverages

4%

Utilities

35%

8%

Health Care Equipment & Svc Insurance

5% 3%

Materials

4%

Real Estate Mgmt & Dev't 8%

Al-Rajhi Bank Sabic National Commercial Bank Samba Financial Group Yanbu National Petrochemical Co.

Capital Goods 25%

Retailing Telecom

Investing in the fund is not guaranteed. The unit price may fall, and investors may get back less than what they have invested, Past performance is not necessarily a guide to future performance. The fund may not be suitable for all investors; in case of any doubt the investor should seek advice from his investment adviser. The Fund Terms and Conditions (as well as the fund’s financial statements), are available in the Company’s investment centers and on its website and contains detailed information including the risk levels of investing in the fund, the investor must read them prior to making his investment decision. Saudi Fransi Capital is providing or may have provided during the past 12 months investment services to one or more of the companies which the fund is investing in.

Saudi Fransi Capital, Closed Joint Stock Company owned by Banque Saudi Fransi 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