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Riyad Gulf Equity Fund

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September 30, 2022

Riyad Gulf Equity Fund

The objective of the fund

Fund start date Unit Price upon offering

The Fund aims to provide long-term capital growth through investing primarily in Gulf stocks companies in UAE, Kuwait, Bahrain, Qatar, and Oman, within the criteria set by the Sharia Committee of Riyad Capital

10.00 2/14/2006

GCC Equity

Benchmark Ideal Ratings GCC islamic Ex.Saudi Arabia

N/A N/A

The Kuwait Financial Center (Markaz) to manage the fund's assets invested in the Kuwaiti market, the Securities and Investment Company (SICO) to manage the fund's assets invested in the SAR

High Level of risk

153,576,140

The investment advisor and fund sub-manager Number of distributions

Percentage of fees for the management of the invested funds Size of the fund

Type of fund Currency of the fund

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Standard Deviation Sharpe Ratio

Tracking Error Beta Alpha

Information Ratio

Total Net Assets

P/E ration N/A

Measure of how closely a portfolio follows its benchmark Risk relative to benchmark index

Difference between the fund's actual returns and the expected returns given its risk

152,818,399.72 The risk adjusted Excess return, shows manager's skill

Most of the time the fund's monthly average return will fluctuate, at least, by this number It determines the reward per unit of risk taken by the fund

Price information as at the end of the quarter (SEPT/2022)

10,479,740.67 Total units of the fund

14.582269

1.52%

Definitions:

Unit Price

Change in unit price (compared to the prevoius quarter)

General Business

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Item

Total Expense Ratio Borrowing percentage Dealing expenses Investment of the fund manager

Distributed profits

Disclaimer

0.00%

Full Ownership Usufruct right

0.00%

0.00

100.00%

0.00%

0.00

0.00%

0.00

0.02%

Value

0.25%

380,904.90

Fund information as at the end of quarter (SEPT/2022)

Details of the fund`s ownership investments

Past performance is neither an indication nor a guarantee of future returns. The value of units and income from them can go up or down investors may receive less than what they have originally invested. Additionally, fees charged on funds and currency exchange rates may have additional adverse effects. Investors should consider their individual and financail situation prior to entering into a specific product/fund and should seek advice from investment and legal professionals. Detailed and specific conformation related to the product is provided in the terms and conditions , applicable to the fund which should be read and understood prior to entering into it

31,051.37

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EMIRATES TELECOMMUNICATIONS 10%

1

EMAAR PROPERTIES PJSC 7%

2

ABU DHABI ISLAMIC BANK PJSC 7%

3

ABU DHABI NATIONAL OIL CO FOR DIST. 6%

4

INDUSTRIES QATAR 6%

5

ALDAR PROPERTIES PJSC 6%

6

DUBAI ISLAMIC BANK 6%

7

FERTIGLOBE PLC 5%

8

AIR ARABIA PJSC 4%

9

QATAR ISLAMIC BANK 3%

10

Company Name Percentage of the fund AUM

List of issuers which shares constitute the largest ten investments in the fund portfolio their percentages as it is in the end of 3RD Quarter 2022

0.00%

2.00%

4.00%

6.00%

8.00%

10.00%

12.00%

EMIRATES TELECOMMUNICATIONS

EMAAR PROPERTIES PJSC ABU DHABI ISLAMIC BANK PJSC

ABU DHABI NATIONAL OIL CO FOR DIST.

INDUSTRIES QATAR ALDAR PROPERTIES PJSC DUBAI ISLAMIC BANK FERTIGLOBE PLC AIR ARABIA PJSC QATAR ISLAMIC BANK

Top 10 Investments of the fund

General Business

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1 2 3 4

Percentage of the fund AUM Company Name

Asset distribution by geographical

QATAR

1.32%

KUWAIT

0.01%

OMAN

59.29%

UAE

19.47%

0.00%

10.00%

20.00%

30.00%

40.00%

50.00%

60.00%

70.00%

UAE QATAR KUWAIT OMAN

Asset Distribution by geographical

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Return

Return Five years Return Three years

Return of one year Return YTD

Return of 3 Months Item

38.47%

44.52%

12.46%

4.07%

-1.52%

Fund Performance

73.14%

82.21%

24.82%

18.70%

4.33%

Benchmark Performance

-34.67%

-37.69%

-12.36%

-14.63%

-5.85%

Performance difference

Performance & Risk

Five years Three years

One year YTD

3 Months Performance & Risk

standards

15.46 18.55

15.29 4.99

2.37 Standard Deviation

0.36 0.67

0.77 0.69

-0.83 Sharpe Ratio

8.78 9.03

12.64 4.02

3.89 Tracking Error

0.86 0.95

0.79 0.81

0.10 Beta

2.61 6.18

5.03 -1.05

-0.62 Alpha

0.55 0.99

0.94 -1.37

-1.48 Information Ratio

General Business

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Contact Details

Riyad Capital Head Office

Garnada Business Park 2414 Al-Shohda Dist.

Unit No 69 ,Riyadh 13241-7279 Saudi Arabia Tel: 920012299 Email address: [email protected] http://www.riyadcapital.com/en/

Riyad Capital is a Saudi Closed Joint Stock Company with Paid up capital of SR 500 million, licensed by the Saudi Arabian Capital Market

Referensi

Dokumen terkait

09134 - 37 Fund Start Date 01 October 2019 Unit Price upon Offering 10.00 Size of the Fund 20,457,546.11 Type of Fund Open Ended Public Fund Currency of the Fund Saudi Riyal Level