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  • Market Indices
    Price: 1060-20
    Open: 1080High: 1080
    Low: 1060Close: 1060
    Volume: 957,500
    • Summary
      StatusIndexChange %Volume
      Market Closed5916.2-0.67 155,685,000
    • Top Gainers

      Company Chg. % Cur. Price
      AREEC9.26118
      MANAFAE8.4764
      MANAFAE8.4764
      ISKAN8.3332.50
      GFH6.8539
      GFH5.4838.50
      URC4104
      UIC3.77110
      ALIMTIAZ3.70168
      CBK3.66850
    • Top Losers
      Company Chg. % Cur. Price
      SAFWAN-16.67750
      SAFRE-13.8915.50
      RKWC-8.47108
      IRC-7.5830.50
      GFC-7.5018.50
      SHOP-6.8568
      ALAMAN-6.5835.50
      FUTURE-6.35295
      JEERANH-6.1077
      MAYADEEN-6.0615.50
    • By Volume
      Company Volume Price
      IFA`R15,840,00041
      SENERGY`R14,320,00046
      ALSAFAT`R13,960,00078
      URC`R13,840,000104
      ABYAAR`R11,280,00030
      ALSAFWA`R6,960,00017
      SAFTEC`R4,840,00059
      GFH`R4,640,00039
      ALIMTIAZ`R3,960,000168
      KRE`R3,600,00050
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Thahabi Multi Asset Funds - Conservative

Overview

Objective & Strategy

The investment objective of the Fund is to provide investors with long term growth. The investment strategy seeks to deliver portfolios with stable monthly returns, low volatility, low peak to trough drawdown and global diversification.

The Fund will offer two portfolios with different risk tolerances to meet various investors' needs:

  • Conservative Multi Asset Portfolio
  • Moderate Multi Asset Portfolio

Investment Features

  • Exposure to eight globally diversified asset classes
  • Includes traditional and alternative asset classes
  • Very low cost index investing
  • Disciplined strategic asset allocation portfolio rebalancing
  • Two portfolios with varying risk-return profiles
  • Ability to invest either directly or through a Savings Plan
Performance As of 31 March 2012Fund
Cumulative Return Since Inception

-7.14%

Annualized Return Since Inception- 1.76%
YTD Return3.34%
1 Month Return-0.76%
3 Months Return3.34%
6 Months Return4.55%
1 Year Return-2.85%
2 Year Return (annualized)1.12%
3 Year Return (annualized)7.42%
5 Year Return (annualized)N/A

Risk Level

 

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