AlJazira International Equities Fund

  • No items found.
  • Rate
    4.90
USD 135.6344
NAV (Feb 2, 2023)
-23.32%
NAV (Feb 2, 2023)
Historical NAV
-23.32%
NAV (Feb 2, 2023)
+0.75%
1D
Mutual fund graph
  • 1D
  • 5D
  • 1M
  • 3M
  • 1Y
  • 3M
  • 5Y
  • 10Y
  • All
Fund Returns
Last 1Y
-18.29%
YTD
-25.78%
Last 3Y
23.27%
Last 3 months
-17.01%
Last 5Y
44.89%
CAGR Month 6

About Al Jazira International Equities Fund

Investment Objective

Since its inception on 21st September 1998, Al Jazira International Equities Fund has become a top-rated fund in Saudi Arabia. Being an open-ended fund, it enables the investors to purchase the units of the fund at their convenience on any working day in Tadawul.

This high-risk fund is handled and developed by a renowned joint stock organization, namely Al Jazira Capital organization. The fund managers associated with this fund are totally owned subsidiaries of Al Jazira bank. 

Governed by Maples Fund Services, this exceptional fund work under the regulation written in the manual. The fund majorly aims to provide investors with a chance to spend in securities that are based on Shariah guidelines registered in worldwide markets.  

The minimum subscription of this fund is 2000 USD. Any investor planning to make an investment can take this fund into consideration. It does not require you to empty your bank balance and compromise on your budget. The minimum value is so that anyone can begin their investing journey.

Expense Ratio
0.52%
Asset Class
Equity
Fund Type
Open
Fund Currency
USD
Shariah Compliant
YES
Fund Objective
Growth
Risk Level
High
Minimum Subscription
0
Subscription charges
2
Management fees
1.5
Leverage
0
Launched Date
2010/09/30

Fund Managers

Aljazira Capital
Fund Manager

FAQs about Al Jazira International Equities Fund

What Kind of Returns does Al Jazira International Equities Fund?

toggle arrow

Al Jazira International Equities Fund offers reasonable returns on investments made by traders. Nevertheless, it's crucial to invest for a duration of at least 5-10 years to get desired profits.

How risky is the Al Jazira International Equities Fund?

toggle arrow

Al Jazira International Equities Fund is a high-risk fund. This implies that the fund is exposed to market instability for providing excellent yields.

What minimum amount must you invest in the Al Jazira International Equities Fund?

toggle arrow

The minimum amount set for this Al Jazira Equities Fund is 2000 USD. The amount is reasonable, which also enables investors with less budget to invest in this fund.

What is the average Annual Management Fee of Al Jazira International Equities Fund?

toggle arrow

The average management cost of Al Jazira International Fund is 1.5%. The fund managers are paid this amount from the investor's profit for handling their investment.

What is the Fund Type of Al Jazira International Equities Fund?

toggle arrow

Al Jazira International Equities Fund is an open-ended fund. Hence, it permits the traders to redeem the units of the fund on any working day.

Who manages the Al Jazira International Equities Fund?

toggle arrow

Al Jazira International Equities Fund is successfully handled by Aljazira Capital. The firm is famous for meeting the investment needs of traders in Saudi Arabia.

What is the Al Jazira International Equities Fund's goal?

toggle arrow

Al Jazira International Equities Fund's goal is to help investors gain capital appreciation in the long run by investing in global equity markets.

What is the expense ratio of the Al Jazira International Equities Fund?

toggle arrow

0.52% is the expense ratio of the Al Jazira International Equities Fund. The fund charges this amount to suffice the need for the fund.

Investment Calculator

SAR 5000 per month
Over the past

Total Investment of (SAR) 0
Would have become (SAR)
0 (0%)

Similar Funds to Al Jazira International Equities Fund

USD 153.2606
NAV
0.54%
EXPENSE RATIO
11.2%
Positive
RETURNS (5 Years)
USD 117.257
NAV
0.82%
EXPENSE RATIO
39.8%
Positive
RETURNS (5 Years)
USD 135.6344
NAV
0.52%
EXPENSE RATIO
44.89%
Positive
RETURNS (5 Years)
USD 161.707
NAV
0.49%
EXPENSE RATIO
10.99%
Positive
RETURNS (5 Years)
SAR 670.4982
NAV
0.52%
EXPENSE RATIO
89.82%
Positive
RETURNS (5 Years)
USD 90.4755
NAV
0.19%
EXPENSE RATIO
N/A
Positive
RETURNS (5 Years)
Link copied to clipboard