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The fund aims to provide capital appreciation and income distribution to unit holders by investing predominantly in equities belonging to the GCC Islamic Equities Space.
NAV: KWD 0.820 as of 31st Dec 2020 Fund-type: Open-Ended Asset-Class: Equity Subscription: Daily Redemption: Monthly Inception Date: September 2008
Articles of Association
Latest Fact Sheet
The Fund strives to provide attractive investment opportunities for those interested in investing in money market instruments.
NAV: 1.023 KWD as of 31st Dec 2020 Fund-type: Open-Ended Asset-Class: Money Market Subscription: Weekly Redemption: Weekly Inception Date: September 2019
Teaser
The fund aims to achieve cash returns and capital gains by investing in diversified real estate sectors (commercial, investment, industrial, craft) in Kuwait.
Fund-type: Closed-Ended (Listed) Asset-Class: Real Estate Distribution: Monthly Inception Date: October 2019
For more information, please contact us via email bdm@kfhcapital.com.kw or call/WhatsApp on +965 2298 7177