Faysal Islamic Asset Allocation Fund
Managed by:
Launched Date:
9-Sep-15
Local Currency:
PKR
Local AuM: 886,000,000
USD AuM: 3,116,062
Open/Closed:
Open
Country:
Pakistan
Region:
Asia Pacific
Domicile:
Pakistan
Asset Class:
Mixed assets
Type of Fund:
Balanced
Returns (%)
1 Month: 0.72
3 Months: -
6 Months: -
YTD: 15.41
1 Year: 21.24
3 Years: 66.62
5 Years: 97.6
Fees (%)
Management Fee: 2
Entry Fee: 3
Exit Fee: 0
Total Expense Ratio: 0.51
Trustees:
Central Depository Company of Pakistan Limited
Shariah Advisors:
Faysal Asset Management Limited
Contact Person
Name:
Mustajab Alam
Designation:
Fund Manager
Email:
mustajab.alam@faysalfunds.com
Landline:
+92 1111329725
Restricted Access
Login to continue reading (existing subscriber)
Subscribe NOW and get:
- Gain unlimited access through all key operating platforms
- Full access to all listed Islamic funds & fund profiles
- Unlimited access to all Islamic fund managers
- Access to all exclusive articles, reports, podcasts & videos
- Complimentary access to all IFN Investor Forums