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×Investment Strategy
The Fund invests primarily in the stocks of large and medium companies listed in North American and Canadian markets. It can also invest up to 10% of its net asset value in Murabaha transactions and Money Market funds. It may also invest up to 10% of its net asset value in funds with similar strategy and following similar Index.
Fund Facts
Fund Manager | SNB Capital Company |
Domicile | Saudi Arabia |
Eligibility | All investors |
Fund Category | Equity |
Fund SubCategory | Shariah Compliant |
Inception Date | 29/03/1999 |
Inception Price | 1.00 |
Valuation Period | Daily |
Valuation Basis | Based on the last unit price announced by the fund. |
Fund Name | SNB Capital North America Index Fund |
Short Name | NAIF |
Fund Objective | The Fund aims to achieve capital growth in the long term. |
Fund Classification | Growth |
Geographic Focus | USA |
Currency | USD |
Structure | Open |
Fees And Expenses
Additional Subscription Information :
1,000.00
Management Fee | 0.30 % | Performance Fee | 0.00 % |
Management Fee Type | Per annum | Min. Subscription | 2,000.00 |
Subscription Fee | 2.00 % | Min. Redemption | 1,000.00 |
Redemption Fee | 0.00 % | Custodian Fee | 0.00 % |
Date | Downloads | |
---|---|---|
SNB Capital North America Index Fund | 23/11/2023 |
Fund Performance
Data Not Available
NAV | 518,021,312.10 |
Unit Price | 8.8775 |
Last Update | 16/04/2024 |
Change | (0.05) % |
Previous Close | 8.88 |
12 Month Low | 7.10 |
12 Month High | 9.32 |
Performance Overview
Change (1M) | (2.33) % |
Change (3M) | 5.38 % |
Change (12M) | 22.22 % |
Change (3Y) | 22.04 % |
Change (5Y) | 81.25 % |
YTD | 5.42 % |
Change Since Inception | 368.94 % |
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