GIC KD Bond Fund

Investment Objective:

Seek maximum current income and price appreciation

consistent with preservation of capital and low total

return volatility.

 

Investment Program:

Carried out by dedicated fixed income team

utilizing all sectors of the Kuwaiti bond market

to add value through multiple sources.

 

Investment Opportunities:

•   Portfolio diversification income and stability.

•   Returns in excess of short-term deposit

    rates with low total return volatility.

•   Added value through active management.

 

Inception Date: May 2003

Currency: Kuwaiti Dinar

NAV per Share:
KD 1.0232
Month to Date:
3.4%
Year to Date:
4.9%
Since Inception:
5.92%