Fund Manager Quarterly Disclosures Q INTERNAL

Similar documents
Fund Manager Quarterly Disclosures Q INTERNAL

Fund Manager Quarterly Disclosures Q3 2017

CONSULTATION ON A MARKET RECLASSIFICATION PROPOSAL FOR THE MSCI SAUDI ARABIA INDEX

Please find enclosed the applicable Fund Facts documents for the mutual funds held in the CIBC IPRS Aggressive Growth Portfolio (Registered).

Mashreq s Tracker Note Performances As of 2 nd of March 2015

Mashreq s Tracker Note Performances As of 4 th January 2015

Description. Index Attributes. Methodology Construction. Quick Facts EQUITY S&P GLOBAL NATURAL RESOURCES INDEX

Market Overview As of 1/31/2019

Market Overview As of 4/30/2018

Market Overview As of 11/30/2018

1000G 1000G HY

Market Overview As of 10/31/2017

Market Overview As of 8/31/2017

DFA Global Equity Portfolio (F Class) Characteristics Report Second Quarter 2017

FRESNO COUNTY EMPLOYEES' RETIREMENT ASSOCIATION Franklin Templeton International Equity - Country Allocation & Returns Period Ending: June 30, 2007

San Francisco Retiree Health Care Trust Fund Education Materials on Public Equity

IXUS ishares Core MSCI Total International Stock ETF

ACWX ishares MSCI ACWI ex U.S. ETF

2018 CAPITAL GAINS DISTRIBUTION ESTIMATES

Current Asset Review Period ended 31 December 2018

Robert Haddad Ashley Hughes AmirAli Motamedi Masoudieh

DFA Global 50EQ-50FI Portfolio (F Class) Characteristics Report Second Quarter 2017

Gold demand statistics

Fund X-Ray December 2014

Reporting practices for domestic and total debt securities

DFA International Core Equity Fund

VYMI Vanguard International High Dividend Yield ETF

Lipper Fund Awards 2007 Methodology and Guidelines

DOCUMENT VERSION Otto Christian Kober Global Head of Methodology

Federal Money Market Fund (VMFXX)

ACWX ishares MSCI ACWI ex U.S. ETF

AAXJ ishares MSCI All Country Asia ex Japan ETF

Interim Management Report of Fund Performance as of June 30, 2018

Global Economic and Market Trends Prof. Jeremy J. Siegel ~ The Wharton School Nasdaq OMX Stock Exchange 15 th Anniversary Conference Tallinn, Estonia

IOOF. International Equities Portfolio NZD. Quarterly update

Global Thematic (ETFs) Select UMA Managed Advisory Portfolios Solutions

VEA Vanguard FTSE Developed Markets ETF

DTH WisdomTree International High Dividend Fund

BIS International Locational Banking Statistics and International Consolidated Banking Statistics in Japan (end-june 2018)

New Dimension for Offshore Investment

Eastspring Investments Asian Equity Fund

Foreign Investment Statistics

TEACHERS RETIREMENT BOARD. INVESTMENT COMMITTEE Item Number: 11

Risks and Opportunities in Global Equities Today BCI Global Investment Conference Tom Mann, CFA Senior Portfolio Manager

ETF Quarterly Statistics

US, by style US, by style US, by style US, by style

Additional series available. Morningstar TM Rating - Funds in category. Equity style Market cap %

VEGI ishares MSCI Global Agriculture Producers ETF

JPMorgan Europe Strategic Dividend Fund

Federated International Leaders Fund (FILF) vs. MSCI EAFE Index (Benchmark) 6/30/2017-9/29/2017 Sector Summary

Investor Relations Presentation Q3 2017

2018 INTERIM MANAGEMENT REPORT OF FUND PERFORMANCE

B-GUIDE: Market Outlook

Portfolio Strategist Update from BlackRock Active Opportunity ETF Portfolios

The Capital Requirements (Country-by-Country Reporting) Regulations December 2017

Saudi Arabia Board and Board Committee Governance Report for listed companies in Saudi Arabia

International Thematic (ETFs) Select UMA Managed Advisory Portfolios Solutions

Balanced Select Portfolio Pn

HSBC Global Investment Funds - Economic Scale Global Equity

BMO MSCI EAFE Index ETF (ZEA) (the ETF )

Exchange Traded Funds

US, by style US, by style US, by style US, by style

Investec Asian Equity Fund

MSCI EAFE Index. An index that provides access to developed markets outside the United States. Nationwide New Heights Fixed Indexed Annuity

VanEck TM Natural Resources Index

US, by style US, by style US, by style US, by style

Data Insights: Global Equity Risk Premia Thursday, August 24, 2017

Report on the management of Norges Bank s foreign exchange reserves. F quarter 2010

Global Economic Indictors: CRB Raw Industrials & Global Economy

Schwab Institutional Diversified International Trust Fund

BMO MSCI EAFE Hedged to CAD Index ETF (ZDM) (the ETF )

Quick facts. Trading information (12 months ending June 29, 2018) Pricing information (12 months ending June 29, 2018) What does the ETF invest in?

ADRA Invesco BLDRS Asia 50 ADR Index Fund

Japan's International Investment Position at Year-End 2009

Schroder ISF Global Multi-Asset Income

FTSE All-World ex Coal Index Series

Summit Strategies Group

31 January 2011 NAV: SAR AUM: Million SAR

Vanguard ETFs: A low-cost way to build a globally diversified portfolio

Diversification Opportunities From Capturing China as an Asset Class An Overview of the KraneShares MSCI All China Index ETF (Ticker: KALL)

Please find enclosed the applicable Fund Facts documents for the mutual funds held in the CIBC IPRS Growth Portfolio (Non-Registered).

Double Tax Treaties. Necessity of Declaration on Tax Beneficial Ownership In case of capital gains tax. DTA Country Withholding Tax Rates (%)

COUNTRY COST INDEX JUNE 2013

International Emerging Markets Separate Account As of December 31, 2017

Summit Strategies Group

Monthly Fund update. Goldman Sachs CORE Equity Portfolios Harnessing the Power of Big Data

An FSE Listings Inc Article FSE Listings Inc- Frankfurt Stock Exchange Listings

2013 Global Survey of Accounting Assumptions. for Defined Benefit Plans. Executive Summary

Saudi Arabia An important milestone

Intraday Liquidity Monitoring Solution

India s International Trade & Investment

JULY 31, ANNUAL REPORT

Summit Strategies Group

Summit Strategies Group

Summit Strategies Group

Summit Strategies Group

JPMorgan Funds statistics report: Emerging Markets Equity Fund

H S B C H O L D I N G S P L C HSBC HOLDINGS PLC THE CAPITAL REQUIREMENTS. (Country-by-Country Reporting) REGULATION 2013

Foreign Exchange Reserves in India

A short history of debt

Transcription:

Fund Manager Quarterly Disclosures Q4 2018

Al Ataa Saudi Equity Fund Al Raed Saudi Equity Fund Al Musahem Saudi Equity Fund AL RAJHI BANK 21.56% AL RAJHI BANK 20.95% AL RAJHI BANK 15.00% SAUDI BASIC INDUSTRIES CORP 13.37% SAUDI BASIC INDUSTRIES CORP 12.70% SAUDI BASIC INDUSTRIES CORP 9.66% ALINMA BANK 6.84% ALINMA BANK 9.53% NATIONAL COMMERCIAL BANK 8.47% SAUDI ARABIAN MINING CO 6.01% SAUDI TELECOM CO 6.68% SAMBA FINANCIAL GROUP 7.84% YANBU NATIONAL PETROCHEMICAL 5.98% YANBU NATIONAL PETROCHEMICAL 6.21% BANQUE SAUDI FRANSI 6.08% SAUDI TELECOM CO 5.81% MOUWASAT MEDICAL SERVICES CO 6.08% YANBU NATIONAL PETROCHEMICAL 5.01% BUPA ARABIA FOR COOPERATIVE 5.13% ADVANCED PETROCHEMICALS CO 5.46% ADVANCED PETROCHEMICALS CO 4.91% ADVANCED PETROCHEMICALS CO 4.88% BANK ALBILAD 4.41% ALINMA BANK 4.47% BANK ALBILAD 4.55% BUPA ARABIA FOR COOPERATIVE 4.35% JARIR MARKETING CO 4.44% MOUWASAT MEDICAL SERVICES CO 3.48% SAUDI ARABIAN MINING CO 4.14% SAUDI IND INVESTMENT GROUP 3.96% Total Fees & Charges / Average NAV 0.52% Total Fees & Charges / Average NAV 0.54% Total Fees & Charges / Average NAV 0.54% Amount of Profits Distributed 4,647,485.28 Amount of Profits Distributed NA Amount of Profits Distributed NA Percentage of Profits Distributed 2.58% Percentage of Profits Distributed NA Percentage of Profits Distributed NA Deal Expense ( in SAR ) 48,752.83 Deal Expense ( in SAR ) 492,170.60 Deal Expense ( in SAR ) 129,550.58 Dealing Expenses / Average NAV 0.03% Dealing Expenses / Average NAV 0.02% Dealing Expenses / Average NAV 0.03% Standard Deviation 0.40 Standard Deviation 1.02 Standard Deviation 2.31 Sharpe Ratio (0.09) Sharpe Ratio (0.03) Sharpe Ratio (0.01) NAV per unit before ECL 12.1553 NAV per unit before ECL 44.4287 NAV per unit before ECL 108.1401 NAV per unit after ECL 12.1553 NAV per unit after ECL 44.4287 NAV per unit after ECL 108.1401 Al Fareed Saudi Equity Fund Al Ataa GCC Equity Fund Al Raed GCC Fund AL RAJHI BANK 15.12% AL RAJHI BANK 9.78% AL RAJHI BANK 9.99% SAUDI BASIC INDUSTRIES CORP 9.30% SAUDI BASIC INDUSTRIES CORP 9.45% SAUDI BASIC INDUSTRIES CORP 9.78% NATIONAL COMMERCIAL BANK 8.73% ALINMA BANK 7.09% DUBAI ISLAMIC BANK 8.40% SAMBA FINANCIAL GROUP 7.86% BUPA ARABIA FOR COOPERATIVE 6.45% ALINMA BANK 6.30% BANQUE SAUDI FRANSI 6.45% SAUDI TELECOM CO 6.17% ADVANCED PETROCHEMICALS CO 5.67% ADVANCED PETROCHEMICALS CO 5.43% DUBAI ISLAMIC BANK 5.91% BANK ALBILAD 4.92% YANBU NATIONAL PETROCHEMICAL 5.40% MOUWASAT MEDICAL SERVICES CO 5.87% YANBU NATIONAL PETROCHEMICAL 4.53% ALINMA BANK 4.91% EMIRATES TELECOM GROUP CO 5.66% SAUDI TELECOM CO 4.36% SAUDI TELECOM CO 4.08% SAUDI ARABIAN MINING CO 5.27% SAUDI ARABIAN MINING CO 4.31% SAUDI IND INVESTMENT GROUP 4.07% YANBU NATIONAL PETROCHEMICAL 4.85% EMIRATES TELECOM GROUP CO 3.85% Total Fees & Charges / Average NAV 0.55% Total Fees & Charges / Average NAV 0.60% Total Fees & Charges / Average NAV 0.59% Amount of Profits Distributed 0.00 Amount of Profits Distributed 2,670,052.03 Amount of Profits Distributed NA Percentage of Profits Distributed 0.00% Percentage of Profits Distributed 2.58% Percentage of Profits Distributed NA Deal Expense ( in SAR ) 14,758.93 Deal Expense ( in SAR ) 110,642.29 Deal Expense ( in SAR ) 14,660.71 Dealing Expenses / Average NAV 0.03% Dealing Expenses / Average NAV 0.11% Dealing Expenses / Average NAV 0.05% Standard Deviation 1.06 Standard Deviation 0.21 Standard Deviation 0.35 Sharpe Ratio (0.03) Sharpe Ratio (0.15) Sharpe Ratio (0.10) NAV per unit before ECL 21.8423 NAV per unit before ECL 8.7425 NAV per unit before ECL 17.2964 NAV per unit after ECL 21.8423 NAV per unit after ECL 8.7425 NAV per unit after ECL 17.2964

Al Musahem GCC Fund Izdihar China Equity Fund Samba Capital Americas Equity Fund AL RAJHI BANK 9.43% TENCENT HOLDINGS LTD /HKD/ 9.38% TECHNOLOGY SELECT SECT SPDR 24.40% NATIONAL COMMERCIAL BANK 9.40% ALIBABA GROUP HOLDING-SP ADR 9.25% HEALTH CARE SELECT SECTOR 12.77% SAUDI BASIC INDUSTRIES CORP 8.16% PING AN INSURANCE GROUP /CNY/ 8.86% CONSUMER DISCRETIONARY SELT 11.61% DUBAI ISLAMIC BANK 5.38% AGRICULTURAL BANK OF CHI /HKD/ 4.77% FINANCIAL SELECT SECTOR SPDR 11.61% EMAAR PROPERTIES PJSC 4.81% CHINA MERCHANTS BANK-H /HKD/ 4.73% INDUSTRIAL SELECT SECT SPDR 8.60% NATIONAL BANK OF KUWAIT 4.09% BAIDU INC 4.46% CONSUMER STAPLES SPDR 5.83% SAMBA FINANCIAL GROUP 4.06% WEIBO CORP-SPON ADR 4.22% ENERGY SELECT SECTOR SPDR 5.26% ALINMA BANK 4.03% CHINA PETROLEUM & CHEMIC /HKD/ 3.90% ISHARES MSCI CANADA ETF 5.24% BANK ALBILAD 4.02% ANHUI CONCH CEMENT CO LT /CNY/ 3.17% SPDR S&P 500 ETF TRUST 4.70% SAUDI IND INVESTMENT GROUP 3.64% BANK OF CHINA LTD-H /HKD/ 2.91% REAL ESTATE SELECT SECT SPDR 2.35% Total Fees & Charges / Average NAV 0.69% Total Fees & Charges / Average NAV 0.28% Total Fees & Charges / Average NAV 0.21% Deal Expense ( in SAR ) 99,107.67 Deal Expense ( in USD ) 0.00 Deal Expense ( in USD ) 0.00 Dealing Expenses / Average NAV 0.09% Dealing Expenses / Average NAV 0.00% Dealing Expenses / Average NAV 0.00% Standard Deviation 0.27 Standard Deviation 0.79 Standard Deviation 0.98 Sharpe Ratio (0.13) Sharpe Ratio (0.19) Sharpe Ratio (0.16) NAV per unit before ECL 17.4772 NAV per unit before ECL 23.4301 NAV per unit before ECL 18.7482 NAV per unit after ECL 17.4772 NAV per unit after ECL 23.4301 NAV per unit after ECL 18.7482 Samba Capital Asian Equity Fund Samba Capital Europe Equity Fund Samba Capital Global Equity Fund ISHARES MSCI JAPAN ETF 24.08% ISHARES MSCI UNITED KINGDOM 23.40% ISHARES GLOBAL TECH ETF 17.17% ISHARES JPX-NIKKEI 400 ETF 21.33% ISHARES MSCI FRANCE ETF 15.22% ISHARES GLOBAL FINANCIALS ET 14.57% ISHARES MSCI ALL COUNTRY ASI 12.70% ISHARES MSCI GERMANY ETF 12.77% ISHARES MSCI ACWI ETF 13.66% ISHARES MSCI CHINA ETF 12.39% ISHARES MSCI SWITZERLAND ETF 11.22% ISHARES GLOBAL CONSUMER DISC 10.48% ISHARES MSCI SOUTH KOREA ETF 6.89% ISHARES CORE MSCI EUROPE 9.82% ISHARES GLOBAL HEALTHCARE ET 10.21% ISHARES MSCI TAIWAN ETF 5.78% ISHARES MSCI NETHERLANDS ETF 4.82% ISHARES GLOBAL INDUSTRIALS E 9.17% ISHARES MSCI INDIA ETF 4.08% ISHARES MSCI SPAIN ETF 4.11% ISHARES GLOBAL CONSUMER STAP 6.78% ISHARES MSCI HONG KONG ETF 3.92% ISHARES MSCI SWEDEN ETF 3.34% ISHARES GLOBAL ENERGY ETF 5.84% ISHARES MSCI SINGAPORE ETF 1.73% ISHARES MSCI ITALY ETF 2.75% ISHARES GLOBAL MATERIALS ETF 4.42% ISHARES MSCI MALAYSIA ETF 1.21% VANGUARD FTSE EUROPE ETF 2.39% ISHARES GLOBAL UTILITIES ETF 2.29% Total Fees & Charges / Average NAV 0.21% Total Fees & Charges / Average NAV 0.67% Total Fees & Charges / Average NAV 0.21% Deal Expense ( in USD ) 5.19 Deal Expense ( in USD ) 0.00 Deal Expense ( in USD ) 2.73 Dealing Expenses / Average NAV 0.00% Dealing Expenses / Average NAV 0.00% Dealing Expenses / Average NAV 0.00% Standard Deviation 0.50 Standard Deviation 0.55 Standard Deviation 0.78 Sharpe Ratio (0.30) Sharpe Ratio (0.32) Sharpe Ratio (0.21) NAV per unit before ECL 13.2781 NAV per unit before ECL 12.3230 NAV per unit before ECL 15.8951 NAV per unit after ECL 13.2781 NAV per unit after ECL 12.3230 NAV per unit after ECL 15.8951

Al Nafees Global Commodities Equity Fund NUTRIEN LTD 9.82% EXXON MOBIL CORP 7.87% ARCHER-DANIELS-MIDLAND CO 7.02% CHEVRON CORP 5.15% ROYAL DUTCH SHELL PLC-A SHS 3.81% BP PLC 3.77% TOTAL SA 3.73% MOSAIC CO/THE 3.17% ROYAL DUTCH SHELL PLC-B SHS 3.13% BUNGE LTD 2.65% International Trade Finance Fund (Al Sunbullah SAR) International Trade Finance Fund (Al Sunbullah USD) Total Fees & Charges / Average NAV 0.67% Total Fees & Charges / Average NAV 0.14% Total Fees & Charges / Average NAV 0.15% Deal Expense ( in USD ) 36.54 Deal Expense ( in SAR ) 0.00 Deal Expense ( in USD ) 0.00 Dealing Expenses / Average NAV 0.00% Dealing Expenses / Average NAV 0.00% Dealing Expenses / Average NAV 0.00% Standard Deviation 0.50 Standard Deviation 0.19 Standard Deviation 0.04 Sharpe Ratio (0.36) Sharpe Ratio (0.12) Sharpe Ratio (0.68) NAV per unit before ECL 8.2894 NAV per unit before ECL 112.6372 NAV per unit before ECL 27.7298 NAV per unit after ECL 8.2894 NAV per unit after ECL 112.5766 NAV per unit after ECL 27.6806 Al Razeen SAR Liquidity Fund Al Razeen USD Liquidity Fund Al Jood GCC Fund AL RAJHI BANK 9.72% SAUDI BASIC INDUSTRIES CORP 9.55% SAUDI TELECOM CO 6.91% ALINMA BANK 6.78% YANBU NATIONAL PETROCHEMICAL 6.51% BANK ALBILAD 6.05% SAHARA PETROCHEMICAL CO 5.70% ADVANCED PETROCHEMICALS CO 5.43% EMIRATES TELECOM GROUP CO 4.56% SAUDI ARABIAN FERTILIZER CO 4.21% Total Fees & Charges / Average NAV 0.13% Total Fees & Charges / Average NAV 0.16% Total Fees & Charges / Average NAV 0.50% Amount of Profits Distributed NA Amount of Profits Distributed NA Amount of Profits Distributed 533,541.43 Percentage of Profits Distributed NA Percentage of Profits Distributed NA Percentage of Profits Distributed 1.53% Deal Expense ( in SAR ) 0.00 Deal Expense ( in USD ) 0.00 Deal Expense ( in SAR ) 27,681.74 Dealing Expenses / Average NAV 0.00% Dealing Expenses / Average NAV 0.00% Dealing Expenses / Average NAV 0.08% Standard Deviation 0.05 Standard Deviation 0.03 Standard Deviation 0.17 Sharpe Ratio (0.46) Sharpe Ratio (0.69) Sharpe Ratio (0.20) NAV per unit before ECL 28.2985 NAV per unit before ECL 26.7340 NAV per unit before ECL 9.5746 NAV per unit after ECL 28.2832 NAV per unit after ECL 26.6861 NAV per unit after ECL 9.5746

- ECL is the abbreviation of Expected Credit Loss Disclaimer: The Standard Deviation and Sharpe Ratio are calculated based on the formulas stated in CMA circular dated March 30, 2017 related to fund manager quarterly disclosures as per Article 71-h of the IFR. Standard Deviation formula is Where x = unit price during the quarter x = Average unit price during the quarter n = number of unit prices during the quarter Sharpe Ratio formula is Where R = Actual return during the Quarter Rf = average risk free return during the Quarter (Sibor 3 month) s = standard deviation as calculate above