SNB Capital Asia Pacific Index Fund

  • No items found.
  • Rate
    4.90
1.8561
NAV (Jun 6, 2023)
+11.49%
Arrow Up Green
NAV (Jun 6, 2023)
Historical NAV
%
NO DATA FOUND
  • 7D
  • 1M
  • 3M
  • YTD
  • 1Y
  • 3Y
  • 5Y
  • ALL
Fund Returns
Last 1Y
-32.22%
YTD
-31.55%
Last 3Y
-2.39%
Last 3 months
-6.09%
Last 5Y
0.3%
CAGR Month 6

About SNB Capital Asia Pacific Index Fund

Investment Objective

Since its commencement on May 2000, SNB Capital Asia Pacific Index Fund has marked its position in the market in Saudi Arabia in the high-risk category. This Shariah-compliant fund benchmark is the MSCI Pacific Islamic M-Series which showcases the performance of large and mid-cap stocks across 11 developed and emerging markets in the Asia Pacific region.

Being managed by SNB Capital, the fund demands minimal value from investors for handling its portfolio. The investment managers work closely with the investors and ensure to select such equities for investments that offer excellent yields. The best part of this fund is that it doesn't charge any expense ratio from its customers. 

Before investing in the SNB Capital Asia Pacific Index Fund or any other mutual fund, investors should carefully evaluate their investment objectives, risk tolerance, and time horizon. Before making any investment decisions, they should thoroughly study the prospectus of the fund and talk with their financial advisor.

Expense Ratio
0%
Asset Class
Equity
Fund Type
Open
Fund Currency
USD
Shariah Compliant
YES
Fund Objective
Growth
Risk Level
High
Minimum Subscription
7500
Subscription charges
0%
Management fees
0.3%
Leverage
0%
Launched Date
2010/09/30

Fund Managers

SNB Capital
Fund Manager

FAQs about SNB Capital Asia Pacific Index Fund

What kind of returns does SNB Capital Asia Pacific Index Fund offer?

toggle arrow

SNB Capital Asia Pacific Index Fund is known for providing desirable returns to people on their investments. Nevertheless, investors must keep an eye on the fund's performance.

How risky is the SNB Capital Asia Pacific Index Fund?

toggle arrow

SNB Capital Asia Pacific Index Fund is a high-risk investment fund. This implies that the fund is best suited for people with high-risk tolerance levels

What is the minimum amount that you need to invest in the SNB Capital Asia Pacific Index Fund?

toggle arrow

The minimum amount one must have when investing in the SNB Capital Asia Pacific Index Fund is USD 7500. This value indicates the amount with which one can start an investment.

What is the annual management fee of SNB Capital Asia Pacific Index Fund?

toggle arrow

The annual management cost of SNB Capital Asia Pacific Index Fund is 0.30%. This amount is charged to people investing in this fund to cover the fund's operating costs.

What is the Fund Type of SNB Capital Asia Pacific Index Fund?

toggle arrow

SNB Capital Asia Pacific Index Fund is an open-ended fund that states individuals can sell the fund's units as per their will.

Who manages the SNB Capital Asia Pacific Index Fund?

toggle arrow

SNB Capital Asia Pacific Index Fund is managed by SNB Capital. The firm is recognized in the region for offering fabulous asset management services.

What is the SNB Capital Asia Pacific Index Fund's Goal?

toggle arrow

The primary objective of SNB Capital Asia Pacific Index Fund is to gain revenue in the long run by investing in equities that are based on Shariah guidelines.

What is the expense ratio of the SNB Capital Asia Pacific Index Fund?

toggle arrow

The expense ratio of the SNB Capital Asia Pacific Index Fund is 0%. This implies that investors can invest in this fund without any fear of paying the annual charges.

Investment Calculator
SAR 5000 per month
Over the past
  • Total Investment of (SAR)
    0
Would have become (SAR)
0 (0%)

Similar Funds to SNB Capital Asia Pacific Index Fund

28.6168
NAV
0%
EXPENSE RATIO
1.19%
Arrow Up Green
RETURNS (5 Years)
3.1474
NAV
0%
EXPENSE RATIO
4.02%
Arrow Up Green
RETURNS (5 Years)
1.1911
NAV
0.0063%
EXPENSE RATIO
1.09%
Arrow Up Green
RETURNS (5 Years)
0.9897
NAV
0.0009%
EXPENSE RATIO
N/A
Arrow Up Green
RETURNS (5 Years)
12.8682
NAV
0.0006%
EXPENSE RATIO
N/A
Arrow Up Green
RETURNS (5 Years)
202.802
NAV
0%
EXPENSE RATIO
13.41%
Arrow Up Green
RETURNS (5 Years)
30.5938
NAV
0%
EXPENSE RATIO
1.42%
Arrow Up Green
RETURNS (5 Years)
122.631
NAV
0.09%
EXPENSE RATIO
1.48%
Arrow Up Green
RETURNS (5 Years)
29.888
NAV
0%
EXPENSE RATIO
1.25%
Arrow Up Green
RETURNS (5 Years)
42.4715
NAV
0%
EXPENSE RATIO
14.67%
Arrow Up Green
RETURNS (5 Years)
17.724
NAV
0.29%
EXPENSE RATIO
-7.49%
Arrow Down Red
RETURNS (5 Years)
10.0597
NAV
0.0063%
EXPENSE RATIO
N/A
Arrow Up Green
RETURNS (5 Years)
1.4298
NAV
0%
EXPENSE RATIO
1.57%
Arrow Up Green
RETURNS (5 Years)
1.4045
NAV
0%
EXPENSE RATIO
1.48%
Arrow Up Green
RETURNS (5 Years)
1.5821
NAV
0.019%
EXPENSE RATIO
-0.3%
Arrow Down Red
RETURNS (5 Years)
4.9889
NAV
0.0009%
EXPENSE RATIO
2.1%
Arrow Up Green
RETURNS (5 Years)
2.9852
NAV
0%
EXPENSE RATIO
21.57%
Arrow Up Green
RETURNS (5 Years)
2.2294
NAV
0.0005%
EXPENSE RATIO
13.53%
Arrow Up Green
RETURNS (5 Years)
24.5858
NAV
0.0008%
EXPENSE RATIO
4.15%
Arrow Up Green
RETURNS (5 Years)
1.05
NAV
0%
EXPENSE RATIO
-0.44%
Arrow Down Red
RETURNS (5 Years)
2.8314
NAV
0%
EXPENSE RATIO
1.46%
Arrow Up Green
RETURNS (5 Years)
1.7963
NAV
0.0066%
EXPENSE RATIO
3.42%
Arrow Up Green
RETURNS (5 Years)
2.6731
NAV
0.0068%
EXPENSE RATIO
5.76%
Arrow Up Green
RETURNS (5 Years)
2.2133
NAV
0.0064%
EXPENSE RATIO
4.91%
Arrow Up Green
RETURNS (5 Years)
7.5271
NAV
0.0013%
EXPENSE RATIO
8.22%
Arrow Up Green
RETURNS (5 Years)
2.5148
NAV
0%
EXPENSE RATIO
N/A
Arrow Up Green
RETURNS (5 Years)
1
NAV
0.0063%
EXPENSE RATIO
1.78%
Arrow Up Green
RETURNS (5 Years)
4.9324
NAV
0%
EXPENSE RATIO
21.43%
Arrow Up Green
RETURNS (5 Years)
16.8538
NAV
0%
EXPENSE RATIO
13.91%
Arrow Up Green
RETURNS (5 Years)
10.1221
NAV
0%
EXPENSE RATIO
N/A
Arrow Up Green
RETURNS (5 Years)
14.2079
NAV
0.0049%
EXPENSE RATIO
12.88%
Arrow Up Green
RETURNS (5 Years)
32.8123
NAV
0.0054%
EXPENSE RATIO
11.75%
Arrow Up Green
RETURNS (5 Years)
78.126
NAV
0%
EXPENSE RATIO
11.54%
Arrow Up Green
RETURNS (5 Years)
9.985
NAV
0.0004%
EXPENSE RATIO
N/A
Arrow Up Green
RETURNS (5 Years)
1.8246
NAV
0.0082%
EXPENSE RATIO
13.43%
Arrow Up Green
RETURNS (5 Years)
1.0218
NAV
0.0048%
EXPENSE RATIO
1.04%
Arrow Up Green
RETURNS (5 Years)
1.9865
NAV
0%
EXPENSE RATIO
1.36%
Arrow Up Green
RETURNS (5 Years)
10.1761
NAV
0%
EXPENSE RATIO
N/A
Arrow Up Green
RETURNS (5 Years)
Link copied to clipboard