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SNB Capital Europe Index Fund

Index Funds

Essential Fund Resources

Funds Unit Prices

0.42 MB

Semi-Annual Report

1.52 MB

Terms & Conditions

0.76 MB

Annual Report‎

4.26 MB

Funds Fact sheet

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Disclosures

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SNB Capital Europe Index Fund

AlAhli Europe Index Fund is an open-ended investment fund which aims to achieve capital growth over the long term. The Fund seeks to replicate as closely as possible, before expenses, the performance of the MSCI Europe Islamic M-Series Index (Net Total Return USD).

Principal Investment Strategies

  • The Fund primarily invests in the stocks of large-medium cap listed companies.
  • The Fund's Investments will be concentrated in the stocks of companies listed on European markets.
  • The Fund is managed pursuant to an index-linked passive strategy that is designed to trace the performance of MSCI Europe Islamic M-Series Index (Net Total Return USD), which is an index based on an the average free float adjusted market capitalization weighted index to measure the performance of Shariah compliant large and medium cap segment companies that are listed in the European markets. The Fund aims to achieve a performance similar to that of the index through investing all or most of its assets in the stocks included in the index, with the investment weight in each share that is approximately equal to its weight in the index or by using a representative sample, provided that the Fund's investments in the securities of a single issuer shall not exceed 20 % of Fund's net assets value, and that the Fund shall not hold more than 20% of its Net Asset Value in any class of securities issued by one single issuer. In addition, the Fund Manager will manage the changes that may occur in the index components. Excess cash balance may be held in cash or in Sharia complaint money market funds that invest in money market and Murabaha and/or invested in Murabaha transactions without charging unitholders an extra fee. In case the Fund would invest in Murabaha transactions, the maximum exposure of the Fund to any counterparty is 10% of the Net Asset Value of the Fund.
  • The Fund will not invest in other securities than those mentioned above


For more information on the Fund’s investment strategies please refer to the Terms & Conditions.

Currency
US Dollars
Risk Category
High Risk
Index
MSCI Europe Islamic M-Series Index (Net Total Return USD)
Fund Objective
Long term capital growth
Minimum Investment
USD 2,000
Minimum Subsequent Subscription
USD 1,000
Minimum Subsequent Subscription through Regular Investment Scheme (RIS)or alternative distribution channel
USD 26.67 (SAR 100)
Minimum Redemption     
USD 1,000
Valuation Days
Monday to Friday that are USA Business Days
Dealing Day
Monday to Thursday that are Saudi Business Days and U.S. Business Days
Subscription/ Redemption Days      
Every Dealing Day
Subscription/Redemption Request cut off time
Before or at 12:30 PM local time in Saudi Arabia on the Dealing Day
Subscription Fee
Up to 2%
Management Fee 
0.30%
Redemption Proceeds
Made available to Investor within four Business Days provided that they are Business Days in US and in Saudi Arabia after the Dealing Day on which the redemption has been executed.
Other expenses
The Fund Manager will charge the Fund any additional expenses related to custody, Shariah audit, data processing and other similar charges. However, other expenses are not expected to exceed 0.50% from the Fund’s NAV.
Offer Date
March 1999
Initial Unit Price
1 USD

Principal Risks of Investing in the Fund

The Fund is of high risk level and no assurance may be given by NCB Capital Company that any appreciation in the value of the Fund’s investments will occur. The value of the Fund’s underlying investments and the income derived from them may go down. No assurance may be given by NCB Capital Company that investment objectives of the Fund will actually be achieved. Moreover, past performance of the Fund, if any, is not an indication of any future growth of rates of return.

For more information on the Fund’s investment strategies please refer to the Terms & Conditions.

SNB Capital Europe Index Fund