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ANBI - Al- Arabi Growth Fund (ANBAAGF.MF)

NAV 19.146USD -0.0020.010%
Also known as: Al-Arabi Growth|As of 31 Dec 2017

Fund Facts

StatusLiquidated
Asset Type Mixed Assets
Geographic FocusWorldwide
DomicileSaudi Arabia
Lipper GlobalMixed Asset Other Aggressive
StructureSA - Open-ended Fund
Inception DateAugust 2001
CurrencyUSD
Fund Size161,000 USD
NAV FrequencyPricing Weekly, 2 times
AdministratorArab National Investment Company
SponsorArab National Bank
Fund ManagerArab National Investment Company
Investment AdvisorArab National Investment Company

Fund Returns

1 Month.097%
3 Months.810%
YTD*4.842%
1 YearGet Lipper
3 YearsGet Lipper
5 YearsGet Lipper
Since InceptionGet Lipper

Ratios

Sharpe Ratio0.347
Information RatioGet Lipper
Annusalised Standard DeviationGet Lipper

Investment Strategy

The fund aims to achieve long term capital appreciation by investing in various asset classes on a global basis with an overweight allocation of the equity portion as a percentage of the Funds total assets.

Fund Performance

NAV (SAR)
19.146
Change
-0.002 (0.010%)
Previous Close
19.148
12 Months High
19.244
12 Months Low
18.110

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