صندوق كامكو للاستثمار

Fund Summary

Fund Structure: 
Open Ended
Launch Date: 
April, 2004
Domicile: 
Kuwait
Geographic Focus: 
Kuwait
Currency: 
KUWAITI DINAR (KWD)
NAV Frequency: 
Weekly
Benchmark: 
S & P Kuwait Domestic Liquid / Capped Select Index TR
Fund Manager: 
Kamco Investment Company
Custodian: 
Kuwait Clearing Company K.S.C.
Auditors: 
Bader Al-Bazie & Partners
Regulator: 
Capital Markets Authority, Kuwait

Fund Objective & Strategy

To provide investors with attractive returns both in the form of capital gains and income by investing selectively in companies listed on the Kuwait Boursa, Treasury Bills and Initial Public Offerings (IPOs).

Performance

Performance as at May-2020.

 

YTD

1 Year

3 Years

5 Years

Since Inception

Fund

-17.8%

-9.8%

17.2%

26.7%

25.3%

Index

-19.0%

-12.9%

14.9%

12.9%

60.7%

Net Asset Value (NAV)

NAV Date: 
25 June 2020
Fund NAV: 
1.296

Past performance is not a guide to future returns. All the information contained in this document is believed to be reliable but may be inaccurate or incomplete. A full explanation of the characteristics of the investment is given in the prospectus. Any opinions stated are honestly held but are not guaranteed. The outlook expressed in this factsheet represents the views of the fund manager at the time of preparation and are not necessarily those of the Kamco Investment Company as a whole. They may be subject to change and should not be interpreted as investment advice. The document is meant for financial promotion and does not provide you with all the facts you need to make an informed decision about investing and hence is not intended to constitute investment advice. The information provided should not be considered as a recommendation or solicitation to purchase, sell or hold these securities. It should also not be assumed that any investment in these securities was or will be, profitable.