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Al-Arabi Balanced Fund - Quarter Statement September 2021

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Quarter Statment

Page 1 of 2 Al-Arabi Balanced Fund

Quarter Statement September 2021

a) Fund Objective

This portfolio aims to achieve medium term capital appreciation and to reduce capital loss by investing in various medium risk asset classes on a global basis .

b) Fund Information

The Fund started on 8/11/2001 1. Fund Start Date

$10 2. Unit Price Upon offering

6,931,422.00 3. Size of the Fund

Open Ended 4. Type of Fund

US Dollar 5. Currency of the Fund

Medium Risk 6. Level of Risk

50% One Month LIBOR, 25% MSCI World, 25% TASI 7. Benchmark

NA 8. Number of distributions

9. Percentage of fees for the management of the invested funds

Percentage of fees Fund Name

0.20%

Al-Mubarak SAR Trade Fund

1.75%

Al Mubarak Saudi Equity Fund

1.75%

Al-Mubarak Pure Saudi Equity Fund

1.75%

Riyadh Capital Global Equity Fund

0.20%

Al-Mubarak USD Trade Fund

1.75%

Al-Mubarak IPO Fund

NA 10. The investment advisor and fund sub-manager

NA 11. The number of days of the weighted average

e) Contact Information 1) Phone Number 920011878

2) Website www.anbinvest.com.sa 3) Email [email protected]

f) Price information as at the end of Q3 September -2021

21.9983 1) Unit Price (as at the end of Q3)

2.27%

2) Change in unit price (compared to the previews quarter)

NA 3) Dual unit price

315,079.51 4) Total units of the fund

6,931,217.20 5) Total net assets

NA 6) P/E

g) Fund Information as at the end of Q3 September -2021

% Value

Item

0.10%

6,231.63 1) Total Expense Ratio (TER)

0%

0 2) Borrowing percentage

0%

0 3) Dealing expenses

0%

0 4) Investment of the fund manager

NA NA

5) Distributed Profits

h) Details of the fund’s ownership investments 1) Full ownership 100%

2) Usufruct right 0%

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Quarter Statment

Page 2 of 2

i) Disclaimer

Past performance figures are not indicative of future performance. Potential investors should be aware that the price of units are subject to change & and not guaranteed .

j) A graph indicating the top 10 investment of the fund

k) A graph indicating the fund’s asset distribution (Sector/Geographic)

l) Revenue

5 Years 3 years

One Year YTD

3 months (end of Q3) Item

55 29.53

16.45 12.14

2.27 1) Fund Performance

45.17 22.48

15.49 10.25

1.04 2) Benchmark Performance

9.83 7.05

0.96 1.89

1.23 3) Performance difference

m) Performance and Risk

5 Years 3 Years

Once year YTD

3 months (end of Q3) Performance and risks standard

7.1 8.2

4.16 3.61

4.36 1) Standard deviation

1.29 1.11

3.76 4.46

1.98 2) Sharp indicator

3.02 3.14

3.47 2.21

2.37 3) Tracking Error

0.85 0.84

0.58 1.05

1.05 4) Beta

9.83 7.05

0.96 1.89

1.23 5) Alpha

0.03 0.63

0.27 1.18

2.11 6) Information Index

n) A graph indicating the performance of the fund since its beginning

Referensi

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