KFH Capital Premier Market Fund

To generate long term capital appreciation through investing in different sectors in sharia compliant premier market securities with a diversified risk exposure.

  • 1.064 KD

    NAV

  • 6.66 %

    YTD return

  • 6.38 %

    Return Since Inception

As of February 22, 2024

FUND FEATURES

Inception Date: April-2023
Fund Type: Public
Fund Tenor: 20 Years (Renewable)
Fund Structure: Open-Ended
Fund Manager: KFH Capital Investment Company
Domicile: Kuwait
Nominal Unit Value: 1 KWD
Minimum Subscription: 1,000 Units
Subscription/Redemption Cycle: Weekly on Wednesday
Periodic NAV Calculation: Weekly on Thursday
Subscription Fees: 1.00%
Redemption Fees: None
Annual Management Fees: 1.00%

Premier NAV Chart

Fund Executive Committee

  • Abdullah E. AlAli
  • Abdulaziz A. AlMishari
  • Sajid Surti

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