
To generate long term capital appreciation through investing in different sectors in sharia compliant premier market securities with a diversified risk exposure.
NAV
YTD return
Return Since Inception
| 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% |