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ANB Capital Saudi Sovereign Sukuk Fund (Shariah)

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ANB Capital Saudi Sovereign Sukuk Fund (Shariah)

A.

Fund Objective

The investment objective of the fund is to achieve long term growth through investing in Saudi Riyal Sovereign Sukuk Issued by the government of Saudi Arabia and Shariah-compliant money markets instruments.

B.

Fund Information

Fund Start Date The Fund Started on 1/5/2020

Unit Price Upon offering SAR 10

Size of the Fund 48,718,737.73 SAR

Type of Fund Open Ended

Currency of the Fund SAR - Saudi Riyals

Level of Risk Low Risk

Benchmark SAIBOR 3 Months

Number of distributions NA

Percentage of fees for the management of the invested funds ANB Capital SAR Trade Fund (Shariah) 0.20%

The investment advisor and fund sub-manager NA The number of days of the weighted average NA

C.

Definitions

1) Standard deviation

The standard deviation of an investment's returns is a measure of how much they can differ from its average return. It is a measure of risk and, as a result, volatility. Investors can use the standard deviation as a risk indicator to see how volatile their investments have been in the past. A higher standard deviation indicates that an investment is more variable or riskier.

2) Sharp indicator The Sharpe ratio is a tool that allows investors to compare the return on investment to the risk involved. This ratio is derived by subtracting the risk-free rate from the return of the portfolio and dividing the result by the investment's standard deviation.

3) Tracking Error Tracking error is a financial performance metric that evaluates the difference between an investment portfolio's return variations and the return fluctuations of a set benchmark. Standard deviations are the most common way to measure return variability.

4) Beta The volatility of a mutual fund in relation to its market benchmark is known as beta.

5) Alpha For a given level of risk, alpha is the excess return over the market benchmark

6) Information Index The information ratio demonstrates the fund manager's consistency in providing superior risk adjusted performance.

E.

Contact Information

Phone Number 800 124 0055

Website www.anbcapital.com.sa

Email info@anbcapital.com.sa

F.

Price information as at the end of Q1 March -2023

Unit Price 9.4593

Change in unit price (compared to the previews quarter) -0.02%

Dual unit price 9.4552

Total units of the fund 5,150,190.05

Total net assets 48,717,023.11

P/E NA

G.

Fund Information as at the end of Q1 March -2023

Item Value %

Total Expense Ratio (TER) 49,619.31 0.10%

Borrowing percentage 0 0

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Dealing expenses 7,815.61 0.016%

Investment of the fund manager 0 0

Distributed Profits NA NA

H.

Details of the fund’s ownership investments

Full ownership 100%

Usufruct right 0%

I.

Disclaimer

Past performance figures are not indicative of future performance. Potential investors should be aware that the price of units is 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

Item 3 months (end of

Q1) YTD 1 Year 3 years 5 Years

Fund Performance 3.68 3.68 -0.31 -5.24 N/A

21.25%

19.30%

13.52%

11.35%

8.18%

7.97%

3.59%

2.65%

2.05%

1.84%

0% 5% 10% 15% 20% 25%

Saudi Government SAR Sukuk ANB Capital SAR Trade Fund (Shariah) saudi Government SAR SUKUK saudi Government SAR SUKUK saudi Government SAR SUKUK Saudi Government SAR Sukuk Saudi Government SAR Sukuk Saudi Government SAR Sukuk Saudi Government SAR Sukuk Saudi Government SAR Sukuk

Saudi Sovereign Sukuk, 81%

Money Market Funds, 19%

Local, 100%

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Benchmark Performance 1.38 1.38 4.22 6.20 N/A

Performance difference 2.30 2.30 -4.54 -11.44 N/A

M.

Performance and Risk

Performance and risks

standard 3 months (end of Q1) YTD 1 year 3 Years 5 Years

Standard deviation 4.78 4.78 7.61 5.23 N/A

Sharp indicator 1.96 1.96 -0.60 -1.35 N/A

Tracking Error 4.77 4.77 7.57 5.21 N/A

Beta 8.80 8.80 3.46 1.00 N/A

Alpha 2.30 2.30 -4.54 -11.44 N/A

Information Index 1.97 1.97 -0.58 -1.36 N/A

N.

A graph indicating the performance of the fund since its beginning

8.00 8.50 9.00 9.50 10.00 10.50 11.00

Mar-20 Apr-20 May-20 Jun-20 Jul-20 Aug-20 Sep-20 Oct-20 Nov-20 Dec-20 Jan-21 Feb-21 Mar-21 Apr-21 May-21 Jun-21 Jul-21 Aug-21 Sep-21 Oct-21 Nov-21 Dec-21 Jan-22 Feb-22 Mar-22 Apr-22 May-22 Jun-22 Jul-22 Aug-22 Sep-22 Oct-22 Nov-22 Dec-22 Jan-23 Feb-23 Mar-23 Apr-23

Fund Index

Referensi

Dokumen terkait

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