The Fund aims to provide an attractive investment opportunity for investors, who are focusing on listed stocks in the Kuwait Stock Exchange and GCCs' markets that are compatible with the provisions of Islamic Sharia.
NAV
YTD Return
Return Since Inception
Fund Type | : Public |
Inception Date | : September-08 |
Fund Structure | : Open-Ended |
Fund Manager | : KFH Capital Investment Company |
Par Value | : 1 KWD |
Periodic NAV Calculation | : Weekly on Thursday |
Subscription/Redemption Cycle | : Weekly on Wednesday |
Redemption Fee | : No Redemption Fee |
Annual Management Fees | : 1.50% |
Subscription Fees | : 1.00% |