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3rd Quarter Results

21 Jan 2010 15:30

RNS Number : 9416F
The Family Shariah Fund Ltd
21 January 2010
 



FOR IMMEDIATE RELEASE 

21 Jan 2010

THE FAMILY SHARI'AH FUND LIMITED

(the 'Company')

Quarterly Results

The Family Shari'ah Fund Limited, a multi-asset class fund providing investors with exposure to a variety of Shari'ah compliant investments predominantly outside of the GCC region, is pleased to announce its unaudited third quarterly results for the period to 30 September 2009*

The Board notes that these quarterly results were due to be announced by 30 October2009 however such announcement was delayed. The Board confirms that the results were prepared and available to them on time and that this delay in announcement had no impact on the availability of quarterly information to the Board on a timely basis for this or any subsequent period. The Board wishes to apologise for any inconvenience caused to investors.

The Directors would also like to take this opportunity to clarify the timing of future announcements in 2010 and 2011 as previously stated in the Company's Admission Document. These quarterly results, the financial timetable and a monthly investment manager's report are also available on the Company's website (www.familyshariahfund.com).

Note

*All figures are unaudited. Also, as stated in the admission document, all private equity investments are only subject to 6 monthly 3rd party revaluations and therefore the net asset value as stated herein may differ from the actual position as at the dates reported.

For further information, please contact: 

The Family Office (Investment Manager)

Tel: +973 17221177

Andrew Paine - CFO 

Richard Joye - Projects Manager

Blomfield Corporate Finance 

(Nominated Adviser and Broker)

Tel: +44 (0)20 7444 0800

James Pinner / Derek Crowhurst / Alan MacKenzie

  

BALANCE SHEET AS AT SEPTEMBER 30, 2009*

ASSETS

USD

Bank accounts

14,862,642

Cost of investment mutual funds

8,737,884

Cost of SUKUK Investment

5,013,800

App/depr settled 

(556,547)

SUKUK Receivable

31,674

Deferred Incorporation Costs

595,327

Prepaid Insurance

117,702

Prepaid Licence Fee

533

Prepaid Listing Fee

3,484

Prepayments - other

4,722

ASSETS TOTAL

28,811,221

LIABILITIES

Management fee payable

105,097

Administration Disbursements payable

400

Administration fees payable

4000

Audit fee payable

26,121

Correct Net fee payable

250

Directors fee payable

156,131

Register fee payable

3,787

Secretarial fees payable

493

Due to the Placing Agent

686,796

LIABILITIES TOTAL

983,075

NET ASSET VALUE

27,828,146

SHAREHOLDER CAPITAL

The Family Shari'ah Fund Class A USD Series 1

27,828,146

SHAREHOLDER CAPITAL TOTAL

27,828,146

*All figures are unaudited. Also, as stated in the admission document, all private equity investments are only subject to 6 monthly 3rd party revaluations and therefore the net asset value as stated herein may differ from the actual position as at the dates reported.

PROFIT & LOSS STATEMENT FOR THE PERIOD JULY 1, 2009 TO SEPTEMBER 30, 2009*

USD

Realised gain/loss

Realised gain/loss mutual funds

172,701

Unrealised gain/loss

Unrealised p/l settled

339,395

Other income

Profit on SUKUK Trade

20,018

Other income

Profit on Murabaha Trade

9,607

Dividend income

Dividends income

17,007

Other expenses

Organisation expense

(85,981)

Insurance expense

(32,071)

Shari'ah Supervisory Board Salaries & Fees

(15,415)

Directors fee expense

(20,000)

Commission

(17,336)

Administration fee expense

(13,950)

Audit fee expense

(12,477)

Professional Fees

(27,811)

Other Expenses

(42,387)

Investment management fee expense

Management fee

(105,098)

Net profit

186,202

*All figures are unaudited. Also, as stated in the admission document, all private equity investments are only subject to 6 monthly 3rd party revaluations and therefore the net asset value as stated herein may differ from the actual position as at the dates reported.  

Positions as of  September 30, 2009*

Security

CCY

Quantity

Market Price*

Market Value*

Ishares II PLC - Ishares MSCI World Islamic

USD

86,200

19.52

1,682,624

Ishares II PLC - Ishares MSCI Emerging Markets Islamic

USD

94,488

17.85

1,686,611

Allianz RCM Islamic Global Equity Opportunities Fund

USD

2,730.3620

817.38

2,231,743

CBB International Sukuk - 6.247 % 06/17/2014

USD

1,000,000

1.0834

1,083,440

IDB Trust Services Ltd - 3.172% 09/16/14

USD

2,000,000

0.9953

1,990,626

Petronas Sukuk - 4.25% 08/12/14

2,000,000

0.9969

1,993,936

TFO Shari'ah Co-Investment Fund SPC - Class AA

USD

450

981.5155

441,682

TFO Shari'ah Co-Investment Fund SPC - Class AB

USD

450

671.6777

302,255

TFO Shari'ah Co-Investment Fund SPC - Class AC

USD

450

1,000

450,000

TFO Shari'ah Co-Investment Fund SPC - Class AE

USD

229.1520

1,000

229,152

TFO Shari'ah Co-Investment Fund SPC - Class AF

USD

222.9410

1,000

222,941

TFO Shari'ah Co-Investment Fund SPC - Class ADV

USD

447.9070

1,000

447,907

TFO Shari'ah Co-Investment fund SPC - Class X

USD

450

450.8644

202,889

TFO Shari'ah Co-Investments Fund SPC - Class Y

USD

450

509.6244

229,331

*All figures are unaudited. Also, as stated in the admission document, all private equity investments are only subject to 6 monthly 3rd party revaluations and therefore the net asset value as stated herein may differ from the actual position as at the dates reported.  Financial Timetable for 2008 and 2009 announcements

Date

Event

Due to be announced by *

For 2010

For 2011

31 January

NAV

20 business days 

2/26/2010

2/28/2011

28 February

NAV

20 business days

3/26/2010

3/28/2011

31 March

NAV

20 business days

4/30/2010

5/1/2011

31 March

Quarterly Financial information 

30 days

4/30/2010

4/29/2011

30 April

NAV

20 business days

6/1/2010

5/31/2011

31 May

NAV

20 business days

6/28/2010

6/28/2011

30 June

NAV

20 business days

7/28/2010

7/28/2011

30 June

Half Year results **

3 months

9/30/2010

9/30/2011

31 July

NAV

20 business days

8/27/2010

8/26/2011

31 August

NAV

20 business days

9/28/2010

9/28/2011

30 September

NAV

20 business days

10/28/2010

10/28/2011

30 September

Quarterly Financial information

30 days

10/29/2010

10/28/2011

31 October

NAV

20 business days

11/26/2010

11/28/2011

30 November

NAV

20 business days

12/30/2010

12/30/2011

31 December

NAV

20 business days

1/31/2011

1/28/2012

31 December

Full Year results ***

6 Months 

4/29/2011

4/29/2012

Notes to the timetable

* As stated in admission document

** Although this is a fiscal quarter, limited quarterly financial information will not be disclosed as fuller half-year information will be produced

*** Although this is a fiscal quarter, limited quarterly financial information will not be disclosed as audited full-year information will be produced

Notes to Editors

The Family Shari'ah Fund Limited is the first multi-asset class fund to gain admission to AIM and provides investors with exposure to a variety of Shari'ah Compliant investments predominantly outside of the GCC region.

The Company's investing policy, as defined by the AIM Rules, is available on the Company's website at www.familyshariahfund.com/investing_policy.html.

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
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