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HSBC Commodity Index Fund (HSBACIF.IF)

NAV 6.673USD 0.0000.000%
Also known as: HSBC Commodity Index|Shariah Compliant|As of 11 Feb 2015

Fund Facts

StatusLiquidated
Asset Type Commodity
Geographic FocusSaudi Arabia
DomicileSaudi Arabia
Lipper GlobalCommodity Blended
StructureSA - Open-ended Fund
Inception DateNovember 2011
CurrencyUSD
Fund Size5,385,915 USD
NAV FrequencyPricing Weekly on Wednesday
AdministratorHSBC Saudi Arabia
SponsorHSBC Saudi Arabia
Fund ManagerHSBC Saudi Arabia
Investment AdvisorHSBC Saudi Arabia

Fund Returns

1 Month%
3 Months%
YTD*%
1 YearGet Lipper
3 YearsGet Lipper
5 YearsGet Lipper
Since InceptionGet Lipper

Investment Strategy

The Fund will be an open-ended Investment Fund with the aim to achieve, over the long - term, capital growth by tracking the performance of the the HSBC SA Enhanced Commodity Index.The Fund will invest its assets primarily in Shari ah-compliant money market funds managed by Fund Manager to manage its liquidity although the Fund’s performance will be based on the performance of the commodity index and the money market funds.

Fund Performance

NAV (SAR)
6.673
Change
0.000 (0.000%)
Previous Close
6.673
12 Months High
9.013
12 Months Low
6.485

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