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Jadwa Conservative Allocation Fund:

Jadwa Conservative Allocation Fund is a Fund of Funds (the Fund) that invests its assets in a diversified portfolio funds with substantial allocation towards Murabaha funds and Sukuk funds. The Fund employs an active asset allocation strategy and aims to provide investors with superior risk-adjusted returns.

The Fund is a low risk investment; investors with low risk tolerance level may participate in the Fund with a view to achieve conservative growth of capital.

 

Fund Manager

Jadwa Investment
PO Box 60677, Riyadh 11555
Saudi Arabia

Base Currency

Saudi Riyal

Currency Exposure The Fund’s underlying investments may have exposure to different currencies and fluctuations in exchange rates may have an adverse effect on the value and price of its units.

Investment Fund Objective

The Fund aims to generate conservative growth of capital by investing a large portion of the Fund assets in other investment funds.

Investment Strategies

The Fund’s assets are invested predominantly in a diversified portfolio of Shariah compliant commodity Murabaha funds, Sukuk funds and equity funds. The Fund’s conservative nature implies that asset allocation of the Fund is highly weighted towards Murabaha funds. The Fund primarily invests in Jadwa Funds and would seek to diversify the exposure by investing in other investment funds domiciled locally and internationally.

Level of Risk

Low risk

Investment Suitability The Fund is suitable for investors with risk averse profile.

Benchmark

Dow Jones Citigroup®   Sukuk Index

Minimum Initial Subscription

SAR 50,000

Minimum additional Subscription and Redemption

SAR 25,000

Cut-off time

12 noon on Saturday for Sunday valuation and 12 noon on Monday for Tuesday valuation.

Valuation Day

Every Sunday and Tuesday.

Announcement Day

The day following the Valuation day.

Payment Day of the Redeemed Amount

Four business days after the relevant Valuation day.

Subscription Fees Upto 1% deducted from each subscription

Management Fees

0.50% per annum accrued pro-rata at each valuation

Unit Price and Day of Inception

SAR 100 on 30 March 2008

This information provides a brief summary (the "Summary") of Jadwa Conservative Allocation Fund (the "Fund"). The content of the Summary is for information purposes only. Jadwa Investment does not hold itself out as providing legal, financial or other advice via the Summary. Investment in the Fund is governed by the fund's Terms and Conditions. The Fund is exposed to foreign currencies and changes in the currency exchange rates may have an adverse effect on the value and price of the units.

Investments in the Fund are not deposits and are not guaranteed. The Fund value is subject to fluctuations and the investor may not receive the full amount that invested. The Fund's past performance is not indicative of future performance. The information provided in the Summary may be changed at any time without a prior notice.

Jadwa Investment is authorized and regulated by the Capital Market Authority.

 

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