Gulf 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: January 2003
Currency: US Dollars
NAV per share:
$12.7035
Month to Date:
1.37%
Year to Date:
3.20%
Since Inception:
3.85%
Explore Our Investments
| FUNDS' PERFORMANCE | ||
| Gulf Bond Fund | ||
| Date | : | 11 May 2012 |
| NAV per Share | : | US$ 13.31 |
| Total Assets | : | US$ 160 million |
| Gulf Islamic Fund | ||
| Date | : | 10 May 2012 |
| NAV per Share | : | US$ 6.42 |
| Total Assets | : | US$ 10 million |