صندوق كامكو المأمون
Fund Objective & Strategy:
The fund seeks to achieve long-term capital appreciation by investing in a diversified portfolio of stocks listed on the Kuwait Stock Exchange The investment process is based on a bottom-up stock selection methodology along with a macroeconomic overlay to identify growth opportunities in Kuwait The fund invests in multiple sectors and growth/value categories
Strategy:
To invest in selected stocks on the Kuwait Stock Exchange that have: Strong performance, High dividend yields, Expected growth, Low volatility High liquidity
Fund Material:
Articles of Association - Arabic
Financial Statement 30 June 2018 (Arabic)
Financial Statement 30 June 2018 (English)
Financial Statement 30 June 2019 (Arabic)
Financial Statement 30 June 2019 (English)
Fund Summary:
Fund Structure:
Open Ended
Launch Date:
Feb, 2001
Domicile:
KUWAIT
Geographic Focus:
Kuwait
Currency:
KUWAITI DINAR (KWD)
NAV Frequency:
Weekly
Benchmark:
S & P KAMCO Mamoun index
Fund Manager:
Kamco Investment Company
Custodian:
Gulf Custody Company, Kuwait
Auditors:
Deloitte & Touche Al-Wazzan & Co.
Regulator:
Capital Markets Authority, Kuwait
Fund ID:
59743
Performance:
FUND_PERFORMANCE_YTD:
-16.1
FUND_PERFORMANCE_1Y:
-7.0
FUND_PERFORMANCE_3Y:
19.1
FUND_PERFORMANCE_5Y:
23.5
FUND_PERFORMANCE_INCEPTION:
145.2
BENCH_PERFORMANCE_YTD:
-21.0
BENCH_PERFORMANCE_1Y:
-13.4
BENCH_PERFORMANCE_3Y:
3.3
BENCH_PERFORMANCE_5Y:
0.0
BENCH_PERFORMANCE_INCEPTION:
120.5
Index Name:
0.00
Performance as at:
May-2020
Net Asset Value (NAV):
NAV Date:
25 June 2020
Fund NAV:
0.7644
Eligibility Criteria for Subscription:
-
Factsheet: